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Note 11 - Financing Arrangements (Tables)
3 Months Ended
Jun. 30, 2018
Notes Tables  
Schedule of Debt [Table Text Block]
   
6/30/2018
   
3/31/2018
 
Maturity Date
                   
Revolver
  $
5,603,713
    $
-
 
November 30, 2019
Term Note A
   
9,500,000
     
9,750,000
 
January 1, 2028
Term Note B
   
4,750,000
     
4,875,000
 
January 1, 2028
Term Note D
   
1,657,600
     
1,674,400
 
January 1, 2028
Air T Debt
   
21,511,313
     
16,299,400
 
 
                   
Revolver
   
4,686,000
     
5,000,000
 
February 21, 2019
Term Loan
   
1,705,775
     
2,404,775
 
March 26, 2019
AirCo Debt
   
6,391,775
     
7,404,775
 
 
                   
Revolver
   
-
     
14,826,062
 
May 5, 2019
Term Loan
   
9,920,000
     
9,920,000
 
January 26, 2021
Contrail Debt
   
9,920,000
     
24,746,062
 
 
                   
Term Loan
   
3,400,000
     
-
 
November 30, 2019
Worthington Debt
   
3,400,000
     
-
 
 
                   
Total Debt
   
41,223,088
     
48,450,238
 
 
                   
Less: Unamortized Debt Issuance Costs
   
(356,258
)    
(365,288
)
 
                   
Total Debt, net
 
$
40,866,830
   
$
48,084,950