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Acquisition of a Subsidiary (Details) - Schedule of fair values assets and liabilities
$ in Thousands
Dec. 31, 2021
USD ($)
Book value [Member]  
Assets  
Insurance receivables and other assets $ 184
Bank Balances 6,054
Asstes total 6,238
Liabilities  
Insurance payables and other liabilities (38)
Liabilities total (38)
Total identifiable net assets at fair value 6,200
Fair value recognized on acquisition [Member]  
Assets  
Insurance receivables and other assets 143
Bank Balances 6,054
Asstes total 6,197
Liabilities  
Insurance payables and other liabilities (38)
Liabilities total (38)
Total identifiable net assets at fair value 6,159
Goodwill arising on acquisition 41
Purchase consideration transferred $ 6,200