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Note 3 - Disclosures About Fair Value: (Detail) - The Company’s estimated fair values of securities are as follows (USD $)
6 Months Ended
Jun. 30, 2011
Jun. 30, 2012
Fair Value $ 1,294,669 $ 981,384
Unrealized Gain/(Loss) 13,078  
Certificate Of Deposits [Member] | Current [Member]
   
Fair Value 495,625 501,384
Certificate Of Deposits [Member] | Noncurrent [Member]
   
Fair Value   480,000
Certificate Of Deposits [Member]
   
Fair Value 495,625 981,384
Mutual Funds [Member] | Noncurrent [Member]
   
Fair Value 799,044  
Unrealized Gain/(Loss) 13,078  
Mutual Funds [Member]
   
Fair Value 799,044  
Unrealized Gain/(Loss) 13,078  
Current [Member]
   
Fair Value 495,625 501,384
Noncurrent [Member]
   
Fair Value 799,044 480,000
Unrealized Gain/(Loss) $ 13,078