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7) Bank and Other Loans Payable: Schedule of combined maturities of bank loans payable, lines of credit and notes and contracts payable (Tables)
12 Months Ended
Dec. 31, 2019
Tables/Schedules  
Schedule of combined maturities of bank loans payable, lines of credit and notes and contracts payable

 

2019

$  192,985,602

2020

       4,256,684

2021

       1,151,703

2022

       1,218,742

2023

       1,247,461

Thereafter

     16,712,420

Total

$  217,572,612