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FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Sep. 30, 2022
Schedule of financial instruments  
Schedule of changes in the fair value financial liabilities
                         
  Level 3 Financial Liabilities for the Three Months Ended September 30, 2022 
   Balance as of June 30, 2022   Realized (Gains) Losses   Additions   Settlements   Unrealized (Gains) Losses   Balance as of September 30, 2022 
Liabilities:                        
Derivative Liabilities  $739,311   $80,130   $   $(778,530)  $8,077   $48,988 
Contingent Purchase Consideration   5,586,493                    5,586,493 
Total Liabilities  $6,325,804   $80,130   $   $(778,530)  $8,077   $5,635,481 

 

    Level 3 Financial Liabilities for the Nine Months Ended September 30, 2022  
    Balance as of December 31, 2021     Realized (Gains) Losses     Additions     Settlements     Unrealized (Gains) Losses     Balance as of September 30, 2022  
Liabilities:                                                
Derivative Liabilities   $     $ 119,754     $ 1,052,350     $ (1,074,069 )   $ (49,047   $ 48,988  
Contingent Purchase Consideration     5,586,493                               5,586,493  
Total Liabilities   $ 5,586,493     $ 119,754     $ 1,052,350     $ (1,074,069 )   $ (49,047   $ 5,635,481