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Note 8 - Convertible Notes Payable (Tables)
3 Months Ended
Mar. 31, 2019
Notes Tables  
Schedule of Maturities of Long-term Debt [Table Text Block]
Year
 
Amount
 
2019
  $
-0-
 
2020
   
5,770,000
 
2021
   
200,000
 
Total
  $
5,970,000
 
Convertible Debt [Member]  
Notes Tables  
Schedule of Long-term Debt Instruments [Table Text Block]
       
 
 
 
 
 
 
 
 
Carrying amount
 
Date of
 
Maturity
 
Interest
   
Principal at
   
Short term
   
Long term
 
issuance
 
date
 
rate
   
March 31, 2019
   
Related
   
Non related
   
Related
   
Non related
 
8/29/2008
 
4/1/2020
   
10%
    $
1,770,000
    $
-0-
    $
-0-
    $
1,770,000
    $
-0-
 
12/16/2008
 
4/1/2020
   
12%
     
4,000,000
     
-0-
     
-0-
     
4,000,000
     
-0-
 
12/16/2008
 
4/1/2021
   
12%
     
200,000
     
-0-
     
-0-
     
-0-
     
200,000
 
Total
   
 
    $
5,970,000
    $
-0-
    $
-0-
    $
5,770,000
    $
200,000
 
       
 
 
 
 
 
 
 
 
Carrying amount
 
Date of
 
Maturity
 
Interest
   
Principal at
   
Short term
   
Long term
 
issuance
 
date
 
rate
   
December 31, 2018
   
Related
   
Non related
   
Related
   
Non related
 
8/29/2008
 
4/1/2020
   
10%
    $
1,770,000
    $
-0-
    $
-0-
    $
1,770,000
    $
-0-
 
12/16/2008
 
4/1/2020
   
12%
     
4,000,000
     
-0-
     
-0-
     
4,000,000
     
-0-
 
12/16/2008
 
4/1/2021
   
12%
     
200,000
     
-0-
     
-0-
     
-0-
     
200,000
 
Total
   
 
    $
5,970,000
    $
-0-
    $
-0-
    $
5,770,000
    $
200,000