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Condensed Consolidated Balance Sheets (Unaudited) - USD ($)
Jun. 30, 2023
Dec. 31, 2022
Real Estate    
Construction in Progress $ 4,887,570 $ 15,616,257
Land Held for Development 3,395,701 7,943,126
Other Properties 406,274 411,528
Total 8,689,545 23,970,911
Cash 838,989 1,034,611
Restricted Cash 309,372 309,219
Other Receivable 143,321 143,574
Reimbursement Receivable 7,234,079
Prepaid Expenses 8,032
Fixed Assets, Net 3,228 4,629
Deposits 21,491 23,603
Operating Lease Right-Of-Use Asset, Net 66,893 108,950
Assets from Discontinued Operations 27,099,836
Total Assets 30,567,109 52,703,365
Liabilities:    
Accounts Payable and Accrued Expenses 965,825 1,240,347
Accrued Interest - Related Parties 228,557 1,383,019
Deferred Revenue 2,100
Security Deposit 2,100
Operating Lease Liability 66,414 110,431
Liabilities from Discontinued Operations 1,112,932
Total Liabilities 1,264,996 30,289,784
Stockholders’ Equity:    
Common Stock, at par $0.001, 1,000,000,000 shares authorized and 704,043,324 issued, and outstanding at June 30, 2023 and December 31, 2022 704,043 704,043
Additional Paid in Capital 32,816,924 32,542,720
Accumulated Deficit (4,290,232) (10,907,442)
Total LiquidValue Development Inc. Stockholders’ Equity 29,230,735 22,339,321
Non-controlling Interests 71,378 74,260
Total Stockholders’ Equity 29,302,113 22,413,581
Total Liabilities and Stockholders’ Equity 30,567,109 52,703,365
Related Party [Member]    
Real Estate    
Other Receivable 230 0
Promissory Note Receivable - Related Party 13,260,191
Liabilities:    
Note Payable - Related Parties $ 26,443,055