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Note 9 - Borrowings (Tables)
12 Months Ended
Dec. 31, 2017
Notes Tables  
Schedule of Debt [Table Text Block]
   
December 31,
 
   
2017
   
2016
 
Open lines of credit at 1.46%
  $
4,000,000
    $
-
 
Matures 02/15/2018 at 1.27%, fixed
   
1,000,000
     
-
 
Matures 03/30/2018 at 1.72%, fixed
   
499,357
     
496,784
 
Matures 05/15/2018 at 1.34%, fixed
   
2,000,000
     
-
 
Matures 08/30/2018 at 1.56%, fixed
   
3,000,000
     
-
 
Matures 09/25/2018 at 1.46%, fixed
   
2,000,000
     
-
 
Matures 04/01/2019 at 2.00%, fixed
   
497,089
     
494,906
 
Matures 12/16/2019 at 2.08%, fixed
   
2,000,000
     
-
 
Matures 10/03/2022 at 1.48%, fixed
   
108,841
     
129,463
 
    $
15,105,287
    $
1,121,153