Annual report pursuant to Section 13 and 15(d)

NOTE 1 - NATURE OF OPERATIONS, BASIS OF PRESENTATION AND SUMMARY OF SIGNIFCANT ACCTG POLICIES (Details)

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NOTE 1 - NATURE OF OPERATIONS, BASIS OF PRESENTATION AND SUMMARY OF SIGNIFCANT ACCTG POLICIES (Details)
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
Revenue | Outside of United States [Member]    
Concentration of Credit Risk 1.73%  
Customer A [Member] | Revenue    
Concentration of Credit Risk 30.00% 48.00%
Customer A [Member] | Accounts Receivable    
Concentration of Credit Risk 33.00% 52.00%
Customer B [Member] | Revenue    
Concentration of Credit Risk 16.00% 26.00%
Customer B [Member] | Accounts Receivable    
Concentration of Credit Risk 28.00% 18.00%
Customer C [Member] | Revenue    
Concentration of Credit Risk 16.00%  
Customer C [Member] | Accounts Receivable    
Concentration of Credit Risk 24.00% 12.00%