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ACCOUNTING POLICIES (Details) - USD ($)
Dec. 31, 2015
Dec. 31, 2014
Dec. 31, 2013
Dec. 31, 2012
ASSETS        
Cash, cash equivalents, restricted cash, Carrying Value $ 2,209,000 $ 1,059,000 $ 1,909,000 $ 1,564,000
Total, Carrying Value 54,114,000 67,528,000    
Assets, Fair Value:        
Cash, cash equivalents, restricted cash, Fair Value 2,259,000 1,109,000    
Certificate of deposit, Fair Value   9,000,000    
Investment in equity securities, Fair Value 579,000 330,000    
Total, Fair Value 2,838,000 10,439,000    
Liabilities, Fair Value        
Debt obligations, Fair Value 9,744,000 10,658,000    
Advances on line of credit, Fair Value   8,780,000    
Total, Fair Value 9,744,000 19,438,000    
Carrying Value [Member]        
ASSETS        
Cash, cash equivalents, restricted cash, Carrying Value 2,259,000 1,109,000    
Certificate of deposit, Carrying Value   9,000,000    
Investment in equity securities, Carrying Value 579,000 2,709,000    
Total, Carrying Value 2,838,000 12,818,000    
Liabilities, Carrying Value        
Advances on line of credit, Carrying Value   8,780,000    
Debt obligations, Carrying Value 9,597,000 10,591,000    
Total, Carrying Value 9,597,000 19,371,000    
Fair Value, Inputs, Level 1 [Member]        
Assets, Fair Value:        
Cash, cash equivalents, restricted cash, Fair Value 2,259,000 1,109,000    
Certificate of deposit, Fair Value   9,000,000    
Investment in equity securities, Fair Value 0 0    
Total, Fair Value 2,259,000 10,109,000    
Liabilities, Fair Value        
Debt obligations, Fair Value 0 0    
Advances on line of credit, Fair Value   8,780,000    
Total, Fair Value 0 8,780,000    
Fair Value, Inputs, Level 2 [Member]        
Assets, Fair Value:        
Cash, cash equivalents, restricted cash, Fair Value 0 0    
Certificate of deposit, Fair Value   0    
Investment in equity securities, Fair Value 0 0    
Total, Fair Value 0 0    
Liabilities, Fair Value        
Debt obligations, Fair Value 0 0    
Advances on line of credit, Fair Value   0    
Total, Fair Value 0 0    
Fair Value, Inputs, Level 3 [Member]        
Assets, Fair Value:        
Cash, cash equivalents, restricted cash, Fair Value 0 0    
Certificate of deposit, Fair Value   0    
Investment in equity securities, Fair Value 579,000 330,000    
Total, Fair Value 579,000 330,000    
Liabilities, Fair Value        
Debt obligations, Fair Value 9,744,000 10,658,000 [1]    
Advances on line of credit, Fair Value   0    
Total, Fair Value $ 9,744,000 $ 10,658,000    
[1] Subsequent to the prior year Form 10K filing, management reviewed the inputs to fair value its debt at December 31, 2014 and determined that it misclassified these as Level 2 and the Company has correctly reclassified these as Level 3 at December 31, 2014. The disclosure reclassification adjustment is not material to previously reported consolidated financial statements.