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Debt (Tables)
6 Months Ended
Jun. 30, 2022
Debt Disclosure [Abstract]  
Schedule of debt
                    
   Maturity dates  Interest rates  June 30, 2022  December 31, 2021
Term loans secured by all assets   04/2023 - 11/2030    3.25 - 6.00%   $10,728,901   $15,613,564 
Term loans secured by property and equipment   01/2024 - 10/2029    4.19 - 6.90%    7,049,839    11,190,093 
Line of credit secured by all assets   07/2022 - 01/2023    4.50 - 6.50%    2,592,714    72,055 
Notes payable convertible into Nutex common shares at $1.55 per share   07/2022   10.00%   342,963       
Term loans of consolidated Real Estate Entities   08/2022 - 12/2040    2.84 - 5.75%    6,020,949    62,478,951 
Total             26,735,366    89,354,663 
Less: unamortized debt issuance costs             101,634    301,691 
Less: short-term lines of credit             2,592,714    72,055 
Less: current portion of long-term debt             7,735,760    10,158,932 
Total debt reflected as long-term            $16,305,258   $78,821,985