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Long Term Debt (Tables)
3 Months Ended
Mar. 31, 2020
Debt Disclosure [Abstract]  
Schedule of company's long term debt

   Current Portion   Long Term Portion 
   March 31,
2020
   December 31,
2019
   March 31,
2020
   December 31,
2019
 
Obligations related to industrial development bond financing  $257,773   $255,471   $3,653,196   $3,718,785 
Note payable related to Snappy Marine asset acquisition   184,184    182,869    450,863    497,405 
Obligation related to Check Corporation asset acquisition   50,230    49,930    34,375    47,082 
Equipment leases   9,896    14,823    10,487    11,312 
Total principal of long- term debt   502,083    503,093    4,148,921    4,274,584 
Debt issuance costs   (19,616)   (19,616)   (127,501)   (132,405)
Total long- term debt  $482,467   $483,477   $4,021,420   $4,142,179 
Schedule of principal payments under long term obligations

Twelve month period ending March 31,    
2021  $502,083 
2022   493,201 
2023   472,854 
2024   352,615 
2025   291,895 
Thereafter   2,538,356 
Total  $4,651,004