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Note 2 - Notes Payable and Long-term Debt (Tables)
3 Months Ended
Mar. 31, 2015
Debt Disclosure [Abstract]  
Schedule of Debt [Table Text Block]
   

March 31,

2015

   

December 31,

2014

 

Credit Agreement with JPMorgan Chase Bank – collateralized by real estate; payable as follows:

               

Line of Credit Note dated July 31, 2007, converted to a 10-year term note on April 30, 2008; $16,875 monthly principal payments plus interest at 7.1% per annum; matures April 30, 2018

  $ 2,092,500     $ 2,143,125  
                 

Line of Credit Note with JPMorgan Chase Bank – collateralized by real estate, payable as follows:

               

Line of Credit Note dated July 12, 2012, as amended on June 25, 2013 and June 23, 2014, in the maximum principal amount of $6,000,000 with revolving features as more fully described above – interest due monthly at LIBOR plus 2%, matures June 30, 2015

    -       3,500,000  
      2,092,500       5,643,125  

Less - Current maturities

    (202,500 )     (3,702,500 )
    $ 1,890,000     $ 1,940,625