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INVESTMENTS IN MARKETABLE SECURITIES (Tables)
12 Months Ended
Dec. 31, 2013
Investments, Debt and Equity Securities [Abstract]  
Schedule of marketable securities
    December 31, 2013     December 31, 2012  
    Cost     Fair     Unrealized     Cost     Fair     Unrealized  
Description   Basis     Value     Gain (loss)     Basis     Value     Gain (loss)  
Real Estate Investment Trusts   $ 345,000     $ 351,000     $ 6,000     $ 174,000     $ 122,000     ($ 52,000 )
                                                 
Mutual Funds, ETF & other     2,030,000       2,144,000       114,000       760,000       817,000       57,000  
                                                 
Other Equity Securities     962,000       1,163,000       201,000       570,000       557,000       (13,000 )
Total Equity Securities     3,337,000       3,658,000       321,000       1,504,000       1,496,000       (8,000 )
Debt Securities     1,088,000       1,065,000       (23,000 )     621,000       662,000       41,000  
Total   $ 4,425,000     $ 4,723,000     $ 298,000     $ 2,125,000     $ 2,158,000     $ 33,000  
Schedule of debt securities
    Cost     Fair Value  
2019 – 2023   25,000     26,000  
2024 – thereafter     1,063,000       1,039,000  
    $ 1,088,000     $ 1,065,000  
Schedule of summary of net gain from investments in marketable securities
Description   2013     2012  
Net realized (loss) gain from sales of marketable securities   ($ 119,000 )   $ 35,000  
Net unrealized gain from marketable securities     263,000       86,000  
Total net gain from investments in marketable securities   $ 144,000     $ 121,000