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EQUIPMENT LOANS (Tables)
9 Months Ended
Sep. 30, 2021
Disclosure Equipment Loans Abstract  
SCHEDULE OF EQUIPMENT LOANS

Consists of the following:

   September 30, 2021   December 31, 2020 
         
Various notes payable to banks and financial institutions with interest rates varying from 0.00% to 13.89%, collateralized by equipment with monthly payments ranging from $400 to $11,600 through 2026:  $5,731,800   $5,595,500 
Book value of collateralized equipment:  $7,840,900   $6,475,600 
SCHEDULE OF FUTURE EQUIPMENT LOAN MATURITIES

Future equipment loan maturities are as follows:

 

For the twelve months ended September 30:

 

      
2022  $1,876,900 
2023   1,787,700 
2024   1,652,200 
2025   410,200 
2026   4,800 
      
Equipment Loans  $5,731,800