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Debt (Tables)
6 Months Ended
Nov. 30, 2015
Debt Disclosure [Abstract]  
Schedule of Debt

Debt as of November 30, 2015 and May 31, 2015 is as follows:

 

    November 30, 2015     May 31, 2015  
             
Term note payable to International Bank of Commerce,                
interest rate of 4.5%, due January 31, 2019, monthly                
principal and interest payments of $171,760   $ 6,063,942     $ 6,945,884  
                 
Revolving note payable to International Bank of Commerce,                
prime rate of interest plus 0.5% but not less than 4.0%, due                
January 31, 2018     650,000       300,000  
                 
Term note payable by GRE to International Bank of                
Commerce, interest rate of 4.5%, due January 31, 2019,     3,108,727       3,207,553  
monthly principal and interest payments of $26,215                
                 
Note payable to Robert Rosene, 7.5% interest,                
due January 15, 2017     2,066,000       2,066,000  
                 
Other note payable     57,098       59,574  
      11,945,767       12,579,011  
Less: Current portion     (2,009,713 )     (2,278,164 )
Long-term debt   $ 9,936,054     $ 10,300,847