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Sale of Product Line and Investment in Affiliate (Tables)
6 Months Ended
Jun. 29, 2013
Sale Of Product Line And Investment In Affiliate Tables  
Determination of carrying value
   At March 28, 2013
Assets transferred     
      
Trade receivables, less allowance for returns  $(16,984)
Inventories   3,467,530 
Prepaid expenses and other assets   76,131 
Total assets transferred   3,526,677 
      
Liabilities transferred     
Accounts payable   368,873 
Total liabilities transferred   368,873 
      
Total net assets transferred  $3,157,804 
      
Initial monetary consideration received     
      
Cash  $500,000 
Non-trade receivable   500,000 
      
Total initial monetary consideration received  $1,000,000 
      
Carrying Value of Long Term Investment in Affiliate  $2,157,804