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Note 3 - Restricted Cash
3 Months Ended
Mar. 31, 2021
Notes to Financial Statements  
Cash and Cash Equivalents Disclosure [Text Block]

NOTE 3.     RESTRICTED CASH

 

Restricted cash consists of the following:

 

  

March 31,

  

December 31,

 
  

2021

  

2020

 
         

Insurance premium escrow

 $308,458  $280,269 

 

The following table sets forth a reconciliation of cash, cash equivalents, and restricted cash reported in the consolidated statements of cash flows that agrees to the total of those amounts as presented in the consolidated statements of cash flows.

 

  

March 31,

  

December 31,

 
  

2021

  

2020

 
         

Cash and cash equivalents

 $84,312,352  $44,665,972 
Funds held as collateral  9,903,614   10,006,075 

Restricted cash

  308,458   280,269 
         

Total Cash, Cash Equivalents, and Restricted Cash as Presented in the Consolidated Statement of Cash Flows

 $94,524,424  $54,952,316