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Summary of Significant Accounting Policies (Details) - USD ($)
3 Months Ended 6 Months Ended 9 Months Ended
Sep. 30, 2022
Jun. 30, 2022
Sep. 30, 2021
Jun. 30, 2022
Sep. 30, 2022
Sep. 30, 2021
Mar. 31, 2022
Dec. 31, 2021
Jun. 30, 2021
Mar. 31, 2021
Dec. 31, 2020
Total current assets $ 107,538,538       $ 107,538,538     $ 154,015,179      
Right-of-use assets 20,904,971       20,904,971     21,829,552      
Total assets 434,517,727       434,517,727     394,650,043      
Lease liabilities, current portion 1,485,360       1,485,360     1,489,997      
Total current liabilities 43,828,001       43,828,001     37,690,959      
Long-term debt, net 24,690,473       24,690,473     78,821,985      
Lease liabilities 20,049,121       20,049,121     20,820,588      
Total liabilities 301,989,725       301,989,725     203,069,033      
Noncontrolling interest 22,042,881       22,042,881     76,929,704      
Total equity 132,528,002 $ 566,414,243 $ 213,258,262 $ 566,414,243 132,528,002 $ 213,258,262 $ 187,423,361 191,581,010 $ 160,512,628 $ 164,330,389 $ 147,368,825
Total liabilities and equity 434,517,727       434,517,727     394,650,043      
Total net income (loss) (433,240,552)   74,494,252   (432,412,571) 155,051,299          
Less: net income (loss) attributable to noncontrolling interests (10,722,749)   20,700,975   (12,052,765) 36,436,485          
Net income (loss) attributable to Nutex Health Inc. (422,517,803)   53,793,277   (420,359,806) 118,614,814          
Cash flow from operating activities         46,101,114 127,008,338          
Cash flow from investing activities         (12,217,448) (25,206,117)          
Cash flow from financing activities         (33,381,151) (93,078,162)          
Net change in cash         502,515 8,724,059          
Retained Earnings [Member]                      
Total equity (358,967,267) 63,550,536 117,494,435 63,550,536 (358,967,267) 117,494,435 96,643,530 102,315,623 85,395,324 89,121,193 81,413,212
Noncontrolling Interest [Member]                      
Total equity $ 22,042,881 34,812,568 83,411,687 34,812,568 $ 22,042,881 83,411,687 $ 78,444,148 $ 76,929,704 $ 62,765,164 $ 64,100,742 $ 55,638,769
Previously Reported [Member]                      
Total current assets     180,253,143     180,253,143          
Right-of-use assets     45,392,663     45,392,663          
Other long-term assets     146,485,099     146,485,099          
Total assets     372,130,905     372,130,905          
Lease liabilities, current portion     1,795,528     1,795,528          
Other current liabilities     38,886,306     38,886,306          
Total current liabilities     40,681,834     40,681,834          
Long-term debt, net     71,882,615     71,882,615          
Lease liabilities     46,484,006     46,484,006          
Total liabilities     159,048,455     159,048,455          
Members' equity   525,689,827 121,400,880 525,689,827   121,400,880          
Noncontrolling interest   40,724,416 91,681,570 40,724,416   91,681,570          
Total equity   566,414,243 213,082,450 566,414,243   213,082,450          
Total liabilities and equity     372,130,905     372,130,905          
Total net income (loss)   (23,478,170)   1,347,961   154,875,487          
Less: net income (loss) attributable to noncontrolling interests       (786,589)   37,337,868          
Net income (loss) attributable to Nutex Health Inc.       2,134,550   117,537,619          
Cash flow from operating activities           126,697,442          
Cash flow from investing activities           (25,088,953)          
Cash flow from financing activities           (92,884,430)          
Net change in cash           8,724,059          
Total deconsolidation of real estate entities   (39,323,872)                  
Previously Reported [Member] | Retained Earnings [Member]                      
Total net income (loss)   (19,395,752)                  
Total deconsolidation of real estate entities   (12,267,888)                  
Previously Reported [Member] | Noncontrolling Interest [Member]                      
Total net income (loss)   (4,082,418)                  
Total deconsolidation of real estate entities   (27,055,984)                  
Revision of Prior Period, Adjustment [Member]                      
Total current assets     0     0          
Right-of-use assets     11,486,769     11,486,769          
Other long-term assets     0     0          
Total assets     11,486,769     11,486,769          
Lease liabilities, current portion     918,254     918,254          
Other current liabilities     0     0          
Total current liabilities     918,254     918,254          
Long-term debt, net     0     0          
Lease liabilities     10,392,703     10,392,703          
Total liabilities     11,310,957     11,310,957          
Members' equity   5,911,300 8,445,695 5,911,300   8,445,695          
Noncontrolling interest   (5,911,300) (8,269,883) (5,911,300)   (8,269,883)          
Total equity   175,812   175,812          
Total liabilities and equity     11,486,769     11,486,769          
Total net income (loss)   (519,980)   (519,980)   175,812          
Less: net income (loss) attributable to noncontrolling interests       (630,886)   (901,383)          
Net income (loss) attributable to Nutex Health Inc.       110,906   1,077,195          
Cash flow from operating activities           310,896          
Cash flow from investing activities           (117,164)          
Cash flow from financing activities           (193,732)          
Net change in cash           0          
Total deconsolidation of real estate entities   519,980                  
Revision of Prior Period, Adjustment [Member] | Retained Earnings [Member]                      
Total net income (loss)   110,906                  
Total deconsolidation of real estate entities   5,800,942                  
Revision of Prior Period, Adjustment [Member] | Noncontrolling Interest [Member]                      
Total net income (loss)   (630,886)                  
Total deconsolidation of real estate entities   (5,280,962)                  
As Revised [Member]                      
Total current assets     180,253,143     180,253,143          
Right-of-use assets     56,879,432     56,879,432          
Other long-term assets     146,485,099     146,485,099          
Total assets     383,617,674     383,617,674          
Lease liabilities, current portion     2,713,782     2,713,782          
Other current liabilities     38,886,306     38,886,306          
Total current liabilities     41,600,088     41,600,088          
Long-term debt, net     71,882,615     71,882,615          
Lease liabilities     56,876,709     56,876,709          
Total liabilities     170,359,412     170,359,412          
Members' equity   531,601,127 129,846,575 531,601,127   129,846,575          
Noncontrolling interest   34,813,116 83,411,687 34,813,116   83,411,687          
Total equity   566,414,243 213,258,262 566,414,243   213,258,262          
Total liabilities and equity     $ 383,617,674     383,617,674          
Total net income (loss)   (23,998,150)   827,981   155,051,299          
Less: net income (loss) attributable to noncontrolling interests       (1,417,475)   36,436,485          
Net income (loss) attributable to Nutex Health Inc.       $ 2,245,456   118,614,814          
Cash flow from operating activities           127,008,338          
Cash flow from investing activities           (25,206,117)          
Cash flow from financing activities           (93,078,162)          
Net change in cash           $ 8,724,059          
Total deconsolidation of real estate entities   (38,803,892)                  
As Revised [Member] | Retained Earnings [Member]                      
Total net income (loss)   (19,284,846)                  
Total deconsolidation of real estate entities   (6,466,946)                  
As Revised [Member] | Noncontrolling Interest [Member]                      
Total net income (loss)   (4,713,304)                  
Total deconsolidation of real estate entities   $ (32,336,946)