Quarterly report pursuant to Section 13 or 15(d)

CONDENSED CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS EQUITY (UNAUDITED)

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CONDENSED CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS EQUITY (UNAUDITED) - USD ($)
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
AOCI Attributable to Parent [Member]
Total
  Balance – December 31, 2019 at Dec. 31, 2019 $ 240,000 $ 65,824,000 $ (12,636,000) $ 79,000 $ 53,507,000
Shares, Issued, Beginning Balance at Dec. 31, 2019 24,036,071        
Dividends and dividend equivalents declared (1,221,000) (1,221,000)
Stock-based compensation 72,000 72,000
Cashless exercise of stock options $ 1,000 1,000
Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period 105,000        
Shares delivered to fund stock option exercises $ (1,000) (1,000)
Shares delivered to fund stock option exercises, shares (100,293)        
Vesting of restricted stock units
Vesting of restricted stock units, shares 11,250        
Treasury stock purchased and retired $ (1,000) (153,000) (154,000)
Treasury stock purchased and retired, shares (72,300)        
Net other comprehensive income (183,000) (183,000)
Net loss (1,337,000) (1,337,000)
Balance – June 30, 2020 at Mar. 31, 2020 $ 239,000 65,896,000 (15,347,000) (104,000) 50,684,000
Shares, Issued, Ending Balance at Mar. 31, 2020 23,979,728        
  Balance – December 31, 2019 at Dec. 31, 2019 $ 240,000 65,824,000 (12,636,000) 79,000 53,507,000
Shares, Issued, Beginning Balance at Dec. 31, 2019 24,036,071        
Net loss         (1,921,000)
Balance – June 30, 2020 at Jun. 30, 2020 $ 239,000 65,981,000 (16,029,000) 71,000 50,262,000
Shares, Issued, Ending Balance at Jun. 30, 2020 23,947,389        
  Balance – December 31, 2019 at Mar. 31, 2020 $ 239,000 65,896,000 (15,347,000) (104,000) 50,684,000
Shares, Issued, Beginning Balance at Mar. 31, 2020 23,979,728        
Stock-based compensation 85,000 85,000
Vesting of restricted stock units
Vesting of restricted stock units, shares 11,250        
Treasury stock purchased and retired (98,000) (98,000)
Treasury stock purchased and retired, shares (43,589)        
Net other comprehensive income 175,000 175,000
Net loss (584,000) (584,000)
Balance – June 30, 2020 at Jun. 30, 2020 $ 239,000 65,981,000 (16,029,000) 71,000 50,262,000
Shares, Issued, Ending Balance at Jun. 30, 2020 23,947,389        
  Balance – December 31, 2019 at Dec. 31, 2020 $ 241,000 66,124,000 (17,193,000) (10,000) 49,162,000
Shares, Issued, Beginning Balance at Dec. 31, 2020 24,105,879        
Dividends and dividend equivalents declared (1,216,000) (1,216,000)
Stock-based compensation 59,000 59,000
Vesting of restricted stock units
Vesting of restricted stock units, shares 11,250        
Net other comprehensive income 11,000 11,000
Net loss 9,451,000 9,451,000
Balance – June 30, 2020 at Mar. 31, 2021 $ 241,000 66,183,000 (8,958,000) 1,000 57,467,000
Shares, Issued, Ending Balance at Mar. 31, 2021 24,117,129        
  Balance – December 31, 2019 at Dec. 31, 2020 $ 241,000 66,124,000 (17,193,000) (10,000) 49,162,000
Shares, Issued, Beginning Balance at Dec. 31, 2020 24,105,879        
Net loss         8,668,000
Balance – June 30, 2020 at Jun. 30, 2021 $ 241,000 66,242,000 (9,872,000) (2,000) 56,609,000
Shares, Issued, Ending Balance at Jun. 30, 2021 24,088,379        
  Balance – December 31, 2019 at Mar. 31, 2021 $ 241,000 66,183,000 (8,958,000) 1,000 57,467,000
Shares, Issued, Beginning Balance at Mar. 31, 2021 24,117,129        
Stock-based compensation 59,000 59,000
Vesting of restricted stock units
Vesting of restricted stock units, shares 11,250        
Treasury stock purchased and retired (131,000) (131,000)
Treasury stock purchased and retired, shares (40,000)        
Net other comprehensive income (3,000) (3,000)
Other comprehensive income loss net of tax portion attributable to parent shares        
Net loss (783,000) (783,000)
Balance – June 30, 2020 at Jun. 30, 2021 $ 241,000 $ 66,242,000 $ (9,872,000) $ (2,000) $ 56,609,000
Shares, Issued, Ending Balance at Jun. 30, 2021 24,088,379