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Other Assets, net
3 Months Ended
Mar. 31, 2023
Other Assets [Abstract]  
Other Assets, net

NOTE 5. Other Assets, net

The following table summarizes the Company’s other assets, net (in thousands):

 

 

 

March 31,
2023

 

 

December 31,
2022

 

Loans to physician partners

 

$

65,596

 

 

$

69,383

 

Health plan deposits

 

 

12,051

 

 

 

11,728

 

Equity method investments(1)

 

 

20,518

 

 

 

17,352

 

Right-of-use lease assets

 

 

13,893

 

 

 

13,029

 

Other

 

 

4,788

 

 

 

5,432

 

 

 

$

116,846

 

 

$

116,924

 

 

(1)
See Note 14 for additional discussion related to the Company's equity method investments.

 

Loans to Physician Partners

The Company provided loans to its physician partners in connection with taxes payable on shares distributed to them in connection with the IPO. These loans mature between 2026 and 2031 with nominal interest compounding annually and no prepayment penalties. Such loans are stated at the amount expected to be collected.