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DEBT (Tables)
6 Months Ended
Jun. 30, 2019
Debt Disclosure [Abstract]  
Schedule of Line of Credit Facilities
Borrowings under the Revolving Facility with TCB consisted of and bore interest at:
 
 
June 30,
2019
 
December 30,
2018
Base Rate
 
$
18,420,547

6.50
%
 
$
650,289

6.50
%
LIBOR
 

%
 
5,000,000

5.16
%
LIBOR
 

%
 
5,000,000

5.16
%
Total
 
$
18,420,547

 
 
$
10,650,289