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Investments
3 Months Ended
Mar. 31, 2014
Investments [Abstract]  
Investments

Investments

The Company classifies investments in marketable securities as trading, available-for-sale or held-to-maturity at the time of purchase and periodically re-evaluates such classifications. Trading securities are carried at fair value, with unrealized holding gains and losses included in earnings. Held-to-maturity securities are recorded at cost and are adjusted for the amortization or accretion of premiums or discounts over the life of the related security. Unrealized holding gains and losses on available-for-sale securities are excluded from earnings and are reported as a separate component of accumulated other comprehensive income (loss) until realized. In determining realized gains and losses, the cost of securities sold is based on the specific identification method. Interest and dividends on the investments are accrued at the balance sheet date. At March 31, 2014 and December 31, 2013 all investments were classified as held to maturity and consisted of the following:

                   March 31, 2014   December 31, 2013
Certificates of Deposit       Maturity   Value of Held to Muturity Investment      Value of Held to Muturity Investment
Investment     Date   (based on cost)   (based on cost)
$                      2,007,997       April 18, 2014   $                                                 2,007,997     $                                                 2,007,997  
  2,011,967       October 17, 2014     2,011,967       2,011,967  
  502,820       June 29, 2014     502,820       502,821  
  301,692       April 6, 2014     301,692       301,692  
  253,492       December 29, 2014     253,494       252,453  
              $ 5,077,970     $ 5,076,930