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Unrestricted Net Assets - Condensed Statement of Cash Flows of US Operations (Details) - USD ($)
3 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Unrestricted Net Assets - Condensed Statement Of Operations Of Us Operations Details    
Cash flows from operating activities $ 45,100 $ (269,200)
Purchase of property and equipment
Net borrowing (repayment) on line of credit $ (332,400) $ (90,200)
Borrowing on note payable 400,000 500,000
Repayment of long term debt (133,700) (133,700)
Payment on obligations under capital leases (1,400) (1,300)
Net change in payable to UBIUK 11,400 (30,800)
Decrease in cash (11,000) (25,200)
Cash, beginning of period 61,300 61,500
Cash, end of period $ 50,300 $ 36,300