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Notes Payable - Schedule of Notes Payable (Details) (Parenthetical) - USD ($)
$ / shares in Units, $ in Thousands
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Equity offering   $ 1,262
Note Payable 1 [Member]    
Debt instrument interest rate 5.00% 5.00%
Debt instrument maturity date description Due May 1, 2021 Due May 1, 2021
Note Payable 2 [Member]    
Debt instrument interest rate 1.00% 1.00%
Debt instrument maturity date description Due May 1, 2022 Due May 1, 2022
Note Payable 3 [Member]    
Debt instrument interest rate 1.00% 1.00%
Debt instrument maturity date description Due May 1, 2022 Due May 1, 2022
Note Payable 4 [Member]    
Debt instrument interest rate 9.00% 9.00%
Debt instrument maturity date description Due December 31, 2020 Due December 31, 2020
Equity offering $ 1,000 $ 1,000
Share purchase price $ 4.25 $ 4.25
Note Payable 5 [Member]    
Debt instrument interest rate 5.00% 5.00%
Note Payable 6 [Member]    
Debt instrument interest rate 5.20% 5.20%
Debt instrument maturity date description The note has a 46-month term with maturity in May 2023 The note has a 46-month term with maturity in May 2023
Debt maturity term 46 months 46 months
Note Payable 7 [Member]    
Debt instrument interest rate 4.45% 4.45%
Debt instrument maturity date description The note has a 34-month term with maturity in May 2022 The note has a 34-month term with maturity in May 2022
Debt maturity term 34 months 34 months
Debt instrument, covenants The note is secured by the assets of Craft Canning and includes debt covenants requiring a Current Ratio of 1.75 to 1.00 and a Debt Service Coverage Ratio of 1.25 to 1.00. The note is secured by the assets of Craft Canning and includes debt covenants requiring a Current Ratio of 1.75 to 1.00 and a Debt Service Coverage Ratio of 1.25 to 1.00.
Debt service coverage Debt Service Coverage Ratio of 1.25 to 1.00 Debt Service Coverage Ratio of 1.25 to 1.00
Note Payable 8 [Member]    
Debt instrument interest rate 5.50% 5.50%
Debt instrument maturity date description The note has a 12-month term with principal and accrued interest due in lump sum in July 2020. The note has a 12-month term with principal and accrued interest due in lump sum in July 2020.
Debt maturity term 12 months 12 months
Revolving line of credit borrowing limit $ 250 $ 300
Note Payable 9 [Member]    
Debt instrument interest rate 3.25% 3.25%
Debt instrument maturity date description The note has a 15-month term with principal and accrued interest due in lump sum in January 2022. The note has a 15-month term with principal and accrued interest due in lump sum in January 2022.
Debt maturity term 15 months 15 months
Revolving line of credit borrowing limit $ 500 $ 500
Note Payable 10 [Member]    
Debt instrument interest rate 4.14% 4.14%
Debt instrument maturity date description The note has a 60-month term with maturity in July 2024 The note has a 60-month term with maturity in July 2024
Debt maturity term 60 months 60 months
Note Payable 11 [Member]    
Debt instrument interest rate 3.91% 3.91%
Debt instrument maturity date description The note has a 60-month term with maturity in August 2024. The note has a 60-month term with maturity in August 2024.
Debt maturity term 60 months 60 months
Note Payable 12 [Member]    
Debt instrument interest rate 3.96% 3.96%
Debt instrument maturity date description The note has a 60-month term with maturity in November 2024. The note has a 60-month term with maturity in November 2024.
Debt maturity term 60 months 60 months
Note Payable 13 [Member]    
Debt instrument maturity date description The Note matures on April 15, 2020 The Note matures on April 15, 2020
Revolving line of credit borrowing limit $ 2,000 $ 2,000
Note Payable 14 [Member]    
Debt instrument maturity date description The notes have 60-month terms with maturity dates between February 2019 - June 2020. The notes have 60-month terms with maturity dates between February 2019 - June 2020.
Note Payable 14 [Member] | Minimum [Member]    
Debt instrument interest rate 2.99% 2.99%
Note Payable 14 [Member] | Maximum [Member]    
Debt instrument interest rate 3.14% 3.14%