Business Rules Summary

Assertions Summary

Defined Executed Pass Fail
Existence assertions 0 0 0 0
Value assertions 24 31 31 0
Consistency assertions 0 0 0 0
Total all assertions 24 31 31 0

Formulae Summary

Defined Executed Facts created
Formulae 0 0 0

Calculations Summary

Defined Executed Pass Inconsistent
Calculations 6 28 28 0

Reporting Entity Specific Rules Summary

Defined Executed Pass Inconsistent
Reporting Entity Specific Rules 9 40 40 0

Total Validations Summary

Severity Signal Count
ERROR   0
WARNING   0
REVIEW   0
INCONSISTENCY 0
BEST PRACTICE   0
INFORMATION   0

XBRL Cloud: Business Report
Component: (Network and Table)
Network
1110 - Statement - Balance Sheet
(http://www.xbrlsite.com/report4/role/BalanceSheet)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 $Assets = ($Liabilities + $Equity)
(BalanceSheet_Arithmetic_BS01)
Pass $Assets = ($Liabilities + $Equity)
2 $Assets = ($Liabilities + $Equity)
(BalanceSheet_Arithmetic_BS01)
Pass $Assets = ($Liabilities + $Equity)
3 $Assets = ($CurrentAssets + $NoncurrentAssets)
(BalanceSheet_Arithmetic_BS02)
Pass $Assets = ($CurrentAssets + $NoncurrentAssets)
4 $Assets = ($CurrentAssets + $NoncurrentAssets)
(BalanceSheet_Arithmetic_BS02)
Pass $Assets = ($CurrentAssets + $NoncurrentAssets)
5 $Liabilities = ($CurrentLiabilities + $NoncurrentLiabilities)
(BalanceSheet_Arithmetic_BS03)
Pass $Liabilities = ($CurrentLiabilities + $NoncurrentLiabilities)
6 $Liabilities = ($CurrentLiabilities + $NoncurrentLiabilities)
(BalanceSheet_Arithmetic_BS03)
Pass $Liabilities = ($CurrentLiabilities + $NoncurrentLiabilities)

XBRL Calculations

Network
1110 - Statement - Balance Sheet
(http://www.xbrlsite.com/report4/role/BalanceSheet)
Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Assets [Roll Up]
Current Assets [Roll Up]
Cash and Cash Equivalents 26,900  + 26,900  26,900  DR 2
Receivables 1,000  + 1,000  1,000  DR 2
Inventories 1,000  + 1,000  1,000  DR 2
Current Assets 28,900  + 28,900  28,900  DR 2 OK
 
Noncurrent Assets [Roll Up]
Property, Plant and Equipment 13,000  + 13,000  13,000  DR 2
Noncurrent Assets 13,000  + 13,000  13,000  DR 2 OK
 
Assets 41,900  41,900  41,900  DR 2 OK
 
Network
1110 - Statement - Balance Sheet
(http://www.xbrlsite.com/report4/role/BalanceSheet)
Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2019-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Assets [Roll Up]
Current Assets [Roll Up]
Cash and Cash Equivalents 13,000  + 13,000  13,000  DR 2
Receivables 1,000  + 1,000  1,000  DR 2
Inventories 1,000  + 1,000  1,000  DR 2
Current Assets 15,000  + 15,000  15,000  DR 2 OK
 
Noncurrent Assets [Roll Up]
Property, Plant and Equipment 1,000  + 1,000  1,000  DR 2
Noncurrent Assets 1,000  + 1,000  1,000  DR 2 OK
 
Assets 16,000  16,000  16,000  DR 2 OK
 
Network
1110 - Statement - Balance Sheet
(http://www.xbrlsite.com/report4/role/BalanceSheet)
Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Liabilities and Equity [Roll Up]
Liabilities [Roll Up]
Current Liabilities [Roll Up]
Accounts Payable 1,000  + 1,000  1,000  CR 2
Current Liabilities 1,000  + 1,000  1,000  CR 2 OK
 
Noncurrent Liabilities [Roll Up]
Long-term Debt 5,900  + 5,900  5,900  CR 2
Noncurrent Liabilities 5,900  + 5,900  5,900  CR 2 OK
 
Liabilities 6,900  + 6,900  6,900  CR 2 OK
 
Equity [Roll Up]
Retained Earnings 35,000  + 35,000  35,000  CR 2
Equity 35,000  + 35,000  35,000  CR 2 OK
 
Liabilities and Equity 41,900  41,900  41,900  CR 2 OK
 
Network
1110 - Statement - Balance Sheet
(http://www.xbrlsite.com/report4/role/BalanceSheet)
Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2019-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Liabilities and Equity [Roll Up]
Liabilities [Roll Up]
Current Liabilities [Roll Up]
Accounts Payable 1,000  + 1,000  1,000  CR 2
Current Liabilities 1,000  + 1,000  1,000  CR 2 OK
 
Noncurrent Liabilities [Roll Up]
Long-term Debt 1,000  + 1,000  1,000  CR 2
Noncurrent Liabilities 1,000  + 1,000  1,000  CR 2 OK
 
Liabilities 2,000  + 2,000  2,000  CR 2 OK
 
Equity [Roll Up]
Retained Earnings 14,000  + 14,000  14,000  CR 2
Equity 14,000  + 14,000  14,000  CR 2 OK
 
Liabilities and Equity 16,000  16,000  16,000  CR 2 OK
 

Component: (Network and Table)
Network
1120 - Statement - Income Statement 2
(http://www.xbrlsite.com/report4/role/IncomeStatement2)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 $OperatingIncomeLoss = ($GrossProfit - $OperatingExpenses)
(IncomeStatement2_Arithmetic_IS02)
Pass $OperatingIncomeLoss = ($GrossProfit - $OperatingExpenses)
2 $GrossProfit = ($Sales - $CostOfSales)
(IncomeStatement2_Arithmetic_IS01)
Pass $GrossProfit = ($Sales - $CostOfSales)

XBRL Calculations

Network
1120 - Statement - Income Statement 2
(http://www.xbrlsite.com/report4/role/IncomeStatement2)
Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Net Income (Loss) [Roll Up]
Income (Loss) from Continuing Operations Before Tax [Roll Up]
Operating Income (Loss) [Roll Up]
Gross Profit (Loss) [Roll Up]
Sales 48,000  + 48,000  48,000  CR 2
Costs of Sales 24,000  - 24,000  24,000  DR 2
Gross Profit (Loss) 24,000  + 24,000  24,000  CR 2 OK
 
Operating Expenses [Roll Up]
Depreciation and Amortization 3,000  + 3,000  3,000  DR 2
Operating Expenses 3,000  - 3,000  3,000  DR 2 OK
 
Operating Income (Loss) 21,000  + 21,000  21,000  CR 2 OK
 
Nonoperating Income (Expenses) + CR 2
Income (Loss) from Continuing Operations Before Tax 21,000  + 21,000  21,000  CR 2 OK
 
Income Tax Expense (Benefit) - DR 2
Net Income (Loss) 21,000  21,000  21,000  CR 2 OK
 

Component: (Network and Table)
Network
1130 - Statement - Cash Flow Statement
(http://www.xbrlsite.com/report4/role/CashFlowStatement)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 $CashAndCashEquivalents_BalanceStart + $NetCashFlow = $CashAndCashEquivalents_BalanceEnd
(CashFlowStatement_RollForward_CashFlowStatement)
Pass $CashAndCashEquivalents_BalanceStart + $NetCashFlow = $CashAndCashEquivalents_BalanceEnd
2 $NetCashFlow = ($NetCashFlowOperatingActivities + $NetCashFlowFinancingActivities + $NetCashFlowInvestingActivities)
(CashFlowStatement_Arithmetic_CF01)
Pass $NetCashFlow = ($NetCashFlowOperatingActivities + $NetCashFlowFinancingActivities + $NetCashFlowInvestingActivities)

XBRL Calculations

Network
1130 - Statement - Cash Flow Statement
(http://www.xbrlsite.com/report4/role/CashFlowStatement)
Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Net Cash Flow [Roll Up]
Net Cash Flow Operating Activities [Roll Up]
Collection of Receivables 48,000  + 48,000  48,000  DR 2
Payment of Accounts Payable (24,000) - 24,000  24,000  CR 2
Net Cash Flow Operating Activities 24,000  + 24,000  24,000  2 OK
 
Net Cash Flow Financing Activities [Roll Up]
Additional Long-term Borrowings 2 6,000  + 6,000  6,000  DR 2
Repayment of Long-term Borrowings 2 (1,100) - 1,100  1,100  CR 2
Net Cash Flow Financing Activities 4,900  + 4,900  4,900  DR 2 OK
 
Net Cash Flow Investing Activities [Roll Up]
Capital Additions of Property, Plant and Equipment 2 (15,000) - 15,000  15,000  CR 2
Net Cash Flow Investing Activities (15,000) + (15,000) (15,000) DR 2 OK
 
Net Cash Flow 13,900  13,900  13,900  DR 2 OK
 

Roll Forward Computations

Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Cash and Cash Equivalents, Ending Balance [Roll Forward]
Cash and Cash Equivalents, Beginning Balance 13,000  + 13,000  13,000  DR 2
Net Cash Flow 13,900  + 13,900  13,900  DR 2
Cash and Cash Equivalents, Ending Balance 26,900  + 26,900  26,900  DR 2 OK
 

Component: (Network and Table)
Network
1140 - Statement - Statement of Changes in Equity
(http://www.xbrlsite.com/report4/role/ChangesInEquity)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 $Equity_BalanceStart + $NetIncomeLoss = $Equity_BalanceEnd
(ChangesInEquity_RollForward_Equity)
Pass $Equity_BalanceStart + $NetIncomeLoss = $Equity_BalanceEnd

Roll Forward Computations

Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Equity, Ending Balance [Roll Forward]
Equity, Beginning Balance 14,000  + 14,000  14,000  CR 2
Net Income (Loss) 21,000  + 21,000  21,000  CR 2
Equity, Ending Balance 35,000  + 35,000  35,000  CR 2 OK
 

Component: (Network and Table)
Network
1210 - Disclosure - Cash and Cash Equivalents Roll Forward
(http://www.xbrlsite.com/report4/role/CashAndCashEquivalents)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 $CashAndCashEquivalents_BalanceStart + $CollectionReceivables - $PaymentOfAccountsPayable + $AdditionalLongtermBorrowings - $RepaymentLongtermBorrowings - $CapitalAdditionsPropertyPlantAndEquipment = $CashAndCashEquivalents_BalanceEnd
(CashAndCashEquivalents_RollForward_RF3)
Pass $CashAndCashEquivalents_BalanceStart + $CollectionReceivables - $PaymentOfAccountsPayable + $AdditionalLongtermBorrowings - $RepaymentLongtermBorrowings - $CapitalAdditionsPropertyPlantAndEquipment = $CashAndCashEquivalents_BalanceEnd

Roll Forward Computations

Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Cash and Cash Equivalents, Ending Balance [Roll Forward]
Cash and Cash Equivalents, Beginning Balance 13,000  + 13,000  13,000  DR 2
Collection of Receivables 48,000  + 48,000  48,000  DR 2
Payment of Accounts Payable (24,000) - 24,000  24,000  CR 2
Additional Long-term Borrowings 2 6,000  + 6,000  6,000  DR 2
Repayment of Long-term Borrowings 2 (1,100) - 1,100  1,100  CR 2
Capital Additions of Property, Plant and Equipment 2 (15,000) - 15,000  15,000  CR 2
Cash and Cash Equivalents, Ending Balance 26,900  + 26,900  26,900  DR 2 OK
 

Component: (Network and Table)
Network
1220 - Disclosure - Receivables Roll Forward
(http://www.xbrlsite.com/report4/role/Receivables)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 $Receivables_BalanceStart + $Sales - $CollectionReceivables - $AdditionsToAllowanceForBadDebts - $BadDebtsWrittenOff = $Receivables_BalanceEnd
(Receivables_RollForward_RF4)
Pass $Receivables_BalanceStart + $Sales - $CollectionReceivables - $AdditionsToAllowanceForBadDebts - $BadDebtsWrittenOff = $Receivables_BalanceEnd

Roll Forward Computations

Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Receivables, Ending Balance [Roll Forward]
Receivables, Beginning Balance 1,000  + 1,000  1,000  DR 2
Sales 2 48,000  + 48,000  48,000  DR 2
Collection of Receivables 2 (48,000) - 48,000  48,000  CR 2
Additions to Allowance for Bad Debts - CR 2
Bad Debts Written Off - CR 2
Receivables, Ending Balance 1,000  + 1,000  1,000  DR 2 OK
 

Component: (Network and Table)
Network
1230 - Disclosure - Inventories Roll Forward
(http://www.xbrlsite.com/report4/role/Inventories)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 $Inventories_BalanceStart + $PurchasesOfInventoryForSale - $CostsOfSales - $InventoryWrittenOff = $Inventories_BalanceEnd
(Inventories_RollForward_RF5)
Pass $Inventories_BalanceStart + $PurchasesOfInventoryForSale - $CostsOfSales - $InventoryWrittenOff = $Inventories_BalanceEnd

Roll Forward Computations

Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Inventories, Ending Balance [Roll Forward]
Inventories, Beginning Balance 1,000  + 1,000  1,000  DR 2
Purchases of Inventory for Sale 24,000  + 24,000  24,000  DR 2
Costs of Sales 2 (24,000) - 24,000  24,000  CR 2
Inventory Written Off - CR 2
Inventories, Ending Balance 1,000  + 1,000  1,000  DR 2 OK
 

Component: (Network and Table)
Network
1240 - Disclosure - Property, Plant, and Equipment Roll Forward
(http://www.xbrlsite.com/report4/role/PropertyPlantAndEquipment)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 $PropertyPlantAndEquipment_BalanceStart + $CapitalAdditionsPropertyPlantAndEquipment - $DepreciationAndAmortization - $PropertyPlantAndEquipmentWrittenOff = $PropertyPlantAndEquipment_BalanceEnd
(PropertyPlantAndEquipment_RollForward_RF6)
Pass $PropertyPlantAndEquipment_BalanceStart + $CapitalAdditionsPropertyPlantAndEquipment - $DepreciationAndAmortization - $PropertyPlantAndEquipmentWrittenOff = $PropertyPlantAndEquipment_BalanceEnd

Roll Forward Computations

Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Property, Plant and Equipment, Ending Balance [Roll Forward]
Property, Plant and Equipment, Beginning Balance 1,000  + 1,000  1,000  DR 2
Capital Additions of Property, Plant and Equipment 15,000  + 15,000  15,000  DR 2
Depreciation and Amortization 2 (3,000) - 3,000  3,000  CR 2
Property, Plant and Equipment Written Off - CR 2
Property, Plant and Equipment, Ending Balance 13,000  + 13,000  13,000  DR 2 OK
 

Component: (Network and Table)
Network
1250 - Disclosure - Accounts Payable Roll Forward
(http://www.xbrlsite.com/report4/role/AccountsPayable)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 $AccountsPayable_BalanceStart + $PurchasesOfInventoryForSale - $PaymentOfAccountsPayable = $AccountsPayable_BalanceEnd
(AccountsPayable_RollForward_RF7)
Pass $AccountsPayable_BalanceStart + $PurchasesOfInventoryForSale - $PaymentOfAccountsPayable = $AccountsPayable_BalanceEnd

Roll Forward Computations

Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Accounts Payable, Ending Balance [Roll Forward]
Accounts Payable, Beginning Balance 1,000  + 1,000  1,000  CR 2
Purchases of Inventory for Sale 2 24,000  + 24,000  24,000  CR 2
Payment of Accounts Payable 2 (24,000) - 24,000  24,000  DR 2
Accounts Payable, Ending Balance 1,000  + 1,000  1,000  CR 2 OK
 

Component: (Network and Table)
Network
1260 - Disclosure - Long-term Debt Roll Forward
(http://www.xbrlsite.com/report4/role/LongTermDebt)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 $LongtermDebt_BalanceStart + $AdditionalLongtermBorrowings - $RepaymentLongtermBorrowings = $LongtermDebt_BalanceEnd
(LongTermDebt_RollForward_RF8)
Pass $LongtermDebt_BalanceStart + $AdditionalLongtermBorrowings - $RepaymentLongtermBorrowings = $LongtermDebt_BalanceEnd

Roll Forward Computations

Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Long-term Debt, Ending Balance [Roll Forward]
Long-term Debt, Beginning Balance 1,000  + 1,000  1,000  CR 2
Additional Long-term Borrowings 6,000  + 6,000  6,000  CR 2
Repayment of Long-term Borrowings (1,100) - 1,100  1,100  DR 2
Long-term Debt, Ending Balance 5,900  + 5,900  5,900  CR 2 OK
 

Component: (Network and Table)
Network
1270 - Disclosure - Retained Earnings Roll Forward
(http://www.xbrlsite.com/report4/role/RetainedEarnings)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 $RetainedEarnings_BalanceStart + $NetIncomeLoss = $RetainedEarnings_BalanceEnd
(RetainedEarnings_RollForward_RF9)
Pass $RetainedEarnings_BalanceStart + $NetIncomeLoss = $RetainedEarnings_BalanceEnd

Roll Forward Computations

Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Retained Earnings, Ending Balance [Roll Forward]
Retained Earnings, Beginning Balance 14,000  + 14,000  14,000  CR 2
Net Income (Loss) 21,000  + 21,000  21,000  CR 2
Retained Earnings, Ending Balance 35,000  + 35,000  35,000  CR 2 OK
 

Component: (Network and Table)
Network
8101 - Support - Trial Balance
(http://www.xbrlsite.com/report4/role/TrialBalance)
Table (Implied)

XBRL Calculations

Network
8101 - Support - Trial Balance
(http://www.xbrlsite.com/report4/role/TrialBalance)
Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Check Sum [Roll Up]
Cash and Cash Equivalents 26,900  + 26,900  26,900  DR 2
Receivables 1,000  + 1,000  1,000  DR 2
Inventories 1,000  + 1,000  1,000  DR 2
Property, Plant and Equipment 13,000  + 13,000  13,000  DR 2
Accounts Payable (1,000) - 1,000  1,000  CR 2
Long-term Debt (5,900) - 5,900  5,900  CR 2
Retained Earnings (35,000) - 35,000  35,000  CR 2
Check Sum DR 2 OK
 
Network
8101 - Support - Trial Balance
(http://www.xbrlsite.com/report4/role/TrialBalance)
Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2019-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Check Sum [Roll Up]
Cash and Cash Equivalents 13,000  + 13,000  13,000  DR 2
Receivables 1,000  + 1,000  1,000  DR 2
Inventories 1,000  + 1,000  1,000  DR 2
Property, Plant and Equipment 1,000  + 1,000  1,000  DR 2
Accounts Payable (1,000) - 1,000  1,000  CR 2
Long-term Debt (1,000) - 1,000  1,000  CR 2
Retained Earnings (14,000) - 14,000  14,000  CR 2
Check Sum DR 2 OK
 

Component: (Network and Table)
Network
8201 - Support - Transactions
(http://www.xbrlsite.com/report4/role/Transactions)
Table (Implied)

XBRL Calculations

Network
8201 - Support - Transactions
(http://www.xbrlsite.com/report4/role/Transactions)
Reporting Entity 4440066d58f26b84ddd (http://standards.iso.org/iso/17442)
Period 2020-01-01 - 2020-12-31
Unit USD
Label Rendered Reported Calculated Balance Decimals Message
Check Sum Changes [Roll Up]
Collection of Receivables 48,000  + 48,000  48,000  DR 2
Payment of Accounts Payable (24,000) - 24,000  24,000  CR 2
Additional Long-term Borrowings 2 6,000  + 6,000  6,000  DR 2
Repayment of Long-term Borrowings 2 (1,100) - 1,100  1,100  CR 2
Capital Additions of Property, Plant and Equipment 2 (15,000) - 15,000  15,000  CR 2
Sales 2 48,000  + 48,000  48,000  DR 2
Collection of Receivables 2 (48,000) - 48,000  48,000  CR 2
Additions to Allowance for Bad Debts - CR 2
Bad Debts Written Off - CR 2
Purchases of Inventory for Sale 24,000  + 24,000  24,000  DR 2
Costs of Sales 2 (24,000) - 24,000  24,000  CR 2
Inventory Written Off - CR 2
Capital Additions of Property, Plant and Equipment 15,000  + 15,000  15,000  DR 2
Depreciation and Amortization 2 (3,000) - 3,000  3,000  CR 2
Property, Plant and Equipment Written Off - CR 2
Purchases of Inventory for Sale 2 (24,000) - 24,000  24,000  CR 2
Payment of Accounts Payable 2 24,000  + 24,000  24,000  DR 2
Additional Long-term Borrowings (6,000) - 6,000  6,000  CR 2
Repayment of Long-term Borrowings 1,100  + 1,100  1,100  DR 2
Net Income (Loss) (21,000) - 21,000  21,000  CR 2
Check Sum Changes DR 2 OK
 

Component: (Network and Table)
Network
(Component not specified)
(http://www.xbrl.org/2003/role/link)
Table (Implied)

Assertion Report

Value Assertions

# Label Result Rule
1 Assets = Current assets + Noncurrent assets
(FAC_BS2_AssetsEqualsCurrentPlusNoncurrentAssets)
Pass $Assets = $AssetsCurrent + $AssetsNoncurrent
2 Assets = Current assets + Noncurrent assets
(FAC_BS2_AssetsEqualsCurrentPlusNoncurrentAssets)
Pass $Assets = $AssetsCurrent + $AssetsNoncurrent
3 NetIncomeLoss = (IncomeLossFromContinuingOperationsBeforeTax - IncomeTaxExpenseBenefit)
(FAC_IS4_NetIncomeLossFoots)
Pass $NetIncomeLoss = ($IncomeLossFromContinuingOperationsBeforeTax - $IncomeTaxExpenseBenefit)
4 Assets = Liabilities and Equity
(FAC_BS1_BalanceSheetBalances)
Pass $Assets = $LiabilitiesAndEquity
5 Assets = Liabilities and Equity
(FAC_BS1_BalanceSheetBalances)
Pass $Assets = $LiabilitiesAndEquity
6 GrossProfitLoss = RevenuesNet - CostOfSales
(FAC_IS1_GrossProfitFoots)
Pass $GrossProfitLoss = ($RevenuesNet - $CostOfSales)
7 Liabilities = Current Liabilities + Noncurrent Liabilities
(FAC_BS3_LiabilitiesEqualsCurrentPlusNoncurrentLiabilities)
Pass $Liabilities = $LiabilitiesCurrent + $LiabilitiesNoncurrent
8 Liabilities = Current Liabilities + Noncurrent Liabilities
(FAC_BS3_LiabilitiesEqualsCurrentPlusNoncurrentLiabilities)
Pass $Liabilities = $LiabilitiesCurrent + $LiabilitiesNoncurrent
9 IncomeLossFromContinuingOperationsBeforeTax = (OperatingIncomeLoss - NonoperatingIncomeExpenses)
(FAC_IS3_IncomeLossFromContinuingOperationsBeforeTaxFoots)
Pass $IncomeLossFromContinuingOperationsBeforeTax = ($OperatingIncomeLoss - $NonoperatingIncomeExpenses)
10 CashFlowNet = CashFlowProvidedByUsedInOperatingActivitiesNet + CashFlowsProvidedByUsedInInvestingActivitiesNet + CashFlowsProvidedByUsedInFinancingActivitiesNet
(FAC_CF1_NetCashFlowEqualsOperatingInvestingAndFinancing)
Pass $CashFlowNet = $CashFlowProvidedByUsedInOperatingActivitiesNet + $CashFlowsProvidedByUsedInInvestingActivitiesNet + $CashFlowsProvidedByUsedInFinancingActivitiesNet
11 LiabilitiesAndEquity = Liabilities + Equity
(FAC_BS4_LiabilitiesAndEquityEqualsLiabilitiesPlusEquity)
Pass $LiabilitiesAndEquity = $Liabilities + $Equity
12 LiabilitiesAndEquity = Liabilities + Equity
(FAC_BS4_LiabilitiesAndEquityEqualsLiabilitiesPlusEquity)
Pass $LiabilitiesAndEquity = $Liabilities + $Equity
13 OperatingIncomeLoss = (GrossProfitLoss - OperatingExpenses)
(FAC_IS2_OperatingIncomeFoots)
Pass $OperatingIncomeLoss = ($GrossProfitLoss - $OperatingExpenses)