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Supplemental Cash Flows Information (Restated)
12 Months Ended
Dec. 31, 2024
Supplemental Cash Flow Elements [Abstract]  
Supplemental Cash Flows Information (Restated) Supplemental Cash Flows Information (Restated)
Year ended December 31
202420232022
(As restated)
Cash paid for interest$3,471,708 $1,639,044 $4,622,106 
Cash paid for income taxes798,990 849,358 8,233,000 
Non-cash investing and financing activities:
Financed capital expenditures1,998,129 7,935,898 18,473,184 
Acquisition of financing leases 53,609,860 25,449,227 23,603,317 
Modification of warrant— — 561,651 
Reverse acquisition with Clinigence— — 436,695,013 
Exercise of warrants on a cashless basis— 1,268 — 
Deconsolidation of Real Estate Entities— (4,258,133)(38,803,892)
Debt converted to common stock 320,688 6,217,737 5,385,372 
Warrants issued with convertible debt— 1,403,877 — 
Warrant liability related to common stock issuance(7,661,557)— — 
Non-cash effect of warrant exercises9,270,529 — — 
Payment for acquisition in common stock406,158 905,234 — 
Common stock issued for Employee Stock Purchase Plan85,491 14,288 — 
Common stock received in sale of business(30,250)— — 
Reclassification of related party payables to equity contributions3,539,372 — — 
Rescission of warrant exercise— — (26,391)