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Summary of Significant Accounting Policies (Tables)
12 Months Ended
Dec. 31, 2018
Accounting Policies [Abstract]  
Schedule of Cash and Restricted Cash

    December 31, 2018     December 31, 2017       December 31, 2017     December 31, 2016  
Cash   $ 2,317,659     $ 4,188,623   Cash   $ 4,188,623     $ 5,871,738  
Restricted Cash     130,326       256,005   Restricted Cash     256,005       177,609  
Total   $ 2,447,985     $ 4,444,628   Total   $ 4,444,628     $ 6,049,347  

Schedule of Derivative Instruments

As of December 31, 2018, the Company has an interest rate swap agreement for its debt with RBS Citizens, N.A. (“Citizens Bank”) (see Note 7) which changes a variable rate into a fixed rate on a term loan as follows:

 

Notional Amount     Variable Rate     Fixed Cost     Maturity Date
$ 869,864       5.5 %     5.87 %   August 30, 2021