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Segment Information (Tables)
3 Months Ended
Mar. 31, 2015
Segment Information [Abstract]  
Schedule of Operations by Reportable Segment
Three Months Ended March 31, 2015 Packaging and
Printing
    Plastics     Technology     Corporate     Total  
                         
Revenues from external customers $ 2,082,000       938,000       410,000       -     $ 3,430,000  
Depreciation and amortization   128,000       34,000       216,000       2,000       380,000  
Stock based compensation     17,000       10,000       33,000       265,000       325,000  
Net income (loss)     41,000       87,000       (1,055,000 )     (720,000 )     (1,647,000 )
Identifiable assets     8,673,000       2,132,000       13,947,000       1,457,000       26,209,000  

 

Three Months Ended March 31, 2014 Packaging and
Printing
    Plastics     Technology     Corporate     Total
                         
Revenues from external customers $ 2,243,000       921,000       464,000       -     $ 3,628,000  
Depreciation and amortization   150,000       43,000       1,119,000       1,000       1,313,000  
Stock based compensation     74,000       42,000       94,000       337,000       547,000   
Net loss     (64,000 )     (9,000 )     (1,679,000 )     (1,303,000 )     (3,055,000 )
Identifiable assets     8,989,000       2,179,000       55,543,000       1,024,000       67,735,000