v3.26.1
BALANCE SHEETS - USD ($)
Jun. 30, 2026
Dec. 31, 2025
Current Assets    
Cash and cash equivalents $ 9,889,753 $ 7,939,000
Investments - marketable securities, short term 799,250 298,125
Trade, less allowance for doubtful accounts of $15,000 1,006,578 694,864
Other 35,072 25,500
Inventories, net 3,624,420 1,091,471
Prepaid purchase orders 248,493 44,789
Prepaid expenses 131,327 151,702
Total current assets 15,734,893 10,245,451
Property and Equipment, at cost    
Machinery and equipment 9,694,462 9,314,408
Furniture and fixtures 180,364 180,364
Leasehold improvements 732,711 732,711
Construction in progress 883,802 627,503
Property and equipment, gross 11,491,339 10,854,986
Less accumulated depreciation and amortization (8,018,015) (8,020,249)
Property and equipment, net 3,473,324 2,834,737
Investments, net - marketable securities, long term 2,569,000 3,069,000
Right of use asset, net 959,224 1,061,709
Other assets 58,993 61,461
Total other assets 3,587,217 4,192,170
TOTAL ASSETS 22,795,434 17,272,358
Current Liabilities    
Operating lease obligations, current portion 232,011 212,561
Accounts payable 477,280 245,523
Customer deposits 4,546,123 829,158
Accrued compensation 343,462 403,281
Accrued expenses and other 75,303 165,222
Total current liabilities 5,674,179 1,855,745
Deferred tax liability 763,983 389,572
Operating lease obligations, net of current portion 727,212 849,148
Total liabilities 7,165,374 3,094,465
Shareholders' Equity    
Common stock, no par value, authorized 15,000,000 shares; 4,600,003 and 4,583,407 shares issued, respectively 10,840,658 10,753,529
Additional paid-in capital 2,233,384 2,233,384
Retained earnings 3,323,518 1,690,980
Less: Treasury stock, at cost (150,000 and 100,000 common shares, respectively) (767,500) (500,000)
Total shareholders' equity 15,630,060 14,177,893
TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY $ 22,795,434 $ 17,272,358