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Debt (Details Narrative) - USD ($)
9 Months Ended
Sep. 30, 2020
Jul. 29, 2020
Dec. 31, 2019
Short term debt $ 0   $ 10,000,000
Principle, amount   $ 5,000,000.0  
Net of issuance costs $ 11,732    
Interest rate   5.75%  
Weighted average interest rate 1.80%   1.85%
Principle Amount, description the 2027 Notes may be redeemed, at the Company’s option, on any scheduled interest payment date. The 2027 Notes will mature on July 31, 2027. The 2030 Notes will initially bear interest at 6.00% per annum, beginning July 29, 2020 to but excluding July 31, 2025, payable semi-annually in arrears. From and including July 31, 2025 through July 30, 2030, or up to an early redemption date, the interest rate shall reset quarterly to an interest rate per annum equal to the then current three-month SOFR plus 593 basis points    
Debt obligations $ 34,875,000   $ 53,197,000
Note payable balance 0   4,000
Debt amount 59,903   $ 0
FHLB [Member]      
Line of credit $ 6,000,000    
Maximum [Member]      
Interest rate 2.50%    
Minimum [Member]      
Interest rate 6400.00%    
PPP Loans [Member]      
Interest rate 0.35%    
2027 [Member]      
Principle, amount $ 7,000,000.0    
Interest rate 6.00% 0.00%