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Debt (Tables)
12 Months Ended
Dec. 31, 2013
Short-Term Loans [Table Text Block]
    2013     2012  
             
From March 16, 2012 to February 18, 2013, with interest of 8.53% at December 31, 2012, collateralized by equipment $   -   $ 1,585,000  
             
From June 19, 2012 to June 19, 2013, with interest of 8.20% at December 31, 2012, collateralized by equipment   -     2,377,500  
             
From June 8, 2012 to June 7, 2013, with interest of 7.26% at December 31, 2012, collateralized by equipment   -     4,279,500  
             
Various bank acceptance bills payable on various dates through June 10, 2013   -     3,758,527  
             
From December 21, 2012 to June 21, 2013, with interest of 6.16% at December 31, 2012, collateralized by a building and equipment   -     792,500  
             
From September 10, 2012 to March 10, 2013, with interest of 6.16% at December 31, 2012,collateralized by a building and equipment   -     697,400  
             
From September 10, 2012 to March 10, 2013, with interest of 6.16% at December 31, 2012, collateralized by a building and equipment   -     792,500  
             
From November 27, 2012 to May 27, 2103, with various interest rates averaging 6.70%, collateralized by a letter of credit   -     2,121,188  
             
From May 31, 2013 to May 31, 2014, with interest of 6.6% at December 31, 2013, collateralized by a building and equipment   6,548,000     -  
             
From September 18, 2013 to September 17, 2014, with interest of 6.6% at December 31, 2013, collateralized by a building and equipment   2,455,500     -  
             
From September 25, 2013 to September 24, 2014, with interest of 6.6% at December 31, 2013, collateralized by a building and equipment   4,092,500     -  
             
From December 9, 2013 to June 9, 2014, with interest of 6.6% at December 31, 2013, collateralized by a building and equipment   1,637,000     -  
             
From November 27, 2013 to November 27, 2014, with interest of 6.6% at December 31, 2013, collateralized by a building and equipment   3,274,000     -  
             
From December 12, 2013 to December 12, 2014, with interest of 7.5% at December 31, 2013, collateralized by a building and equipment   4,583,600     -  
             
From November 27, 2013 to November 27, 2014, with interest of 6.6% at December 31, 2013, collateralized by a building and equipment   842,400     -  
             
From November 27, 2013 to November 27, 2014, with interest of 6.6% at December 31, 2013, collateralized by a building and equipment   1,473,300     -  
             
Various bank acceptance bills and note payable that are payable on various dates through May 11, 2014   3,956,494     -  
             
  $ 28,862,794   $ 16,404,115  
Long-Term Loans [Table Text Block]
    2013     2012  
             
From January 24, 2011 to January 24, 2018, with interest of 6.60%, collateralized by buildings and land use rights $ 982,200   $ 2,536,000  
             
From February 10, 2011 to February 10, 2018, with interest of 6.60%, collateralized by buildings and land use rights   2,946,600     2,853,000  
             
From February 16, 2011 to February 16, 2018, with interest of 6.60%, collateralized by buildings and land use rights   2,373,650     2,298,250  
             
From February 17, 2011 to February 17, 2018, with interest of 6.60%, collateralized by buildings and land use rights   1,293,230     1,252,150  
             
From March 25, 2011 to March 25, 2018, with interest of 6.60%, collateralized by buildings and land use rights   441,990     427,950  
             
From November 30, 2011 to November 30, 2018, with interest of 6.60%, collateralized by buildings and land use rights   163,700     158,500  
             
From December 23, 2011 to December 23, 2018, with interest of 6.60%, collateralized by buildings and land use rights   523,840     507,200  
             
From March 19, 2012 to January 18, 2018, with interest of 6.60%, collateralized by buildings and land use rights   1,096,790     1,061,950  
             
  $ 9,822,000   $ 11,095,000  
Schedule of Maturities of Long-term Debt [Table Text Block]
Year Ending December 31,        
2014 $   -  
2015   -  
2016   -  
2017   -  
2018   9,822,000  
  $ 9,822,000