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LONG-TERM DEBT (Details) - USD ($)
6 Months Ended
Jun. 30, 2022
Dec. 31, 2021
Subtotal $ 16,591,734 $ 18,736,131
Current Portion 1,241,480 2,765,794
Noncurrent Portion 15,350,254 15,970,337
Avail Transaction Note    
Note Payable, Related Party $ 1,833,333 2,000,000
Interest Rate 0.00%  
Maturity Apr. 01, 2025  
Revolving Line Of Credit    
Note Payable, Related Party $ 0 1,700,000
Interest Rate 3.10%  
Maturity Nov. 15, 2024  
DGSE [Member]    
Subtotal $ 5,798,874 5,906,257
DGSE [Member] | Note Payable Farmers State Bank    
Subtotal 2,719,906  
Note Payable, Related Party $ 2,719,906 2,770,729
Interest Rate 3.10%  
Maturity Nov. 15, 2026  
DGSE [Member] | Note Payable Truist Bank    
Subtotal $ 891,874  
Note Payable, Related Party $ 891,874 909,073
Interest Rate 3.65%  
Maturity Jul. 09, 2030  
DGSE [Member] | Note Payable Texas Bank And Trust    
Subtotal $ 465,157  
Note Payable, Related Party $ 465,157 474,009
Interest Rate 3.75%  
Maturity Sep. 14, 2025  
DGSE [Member] | Note Payable Texas Bank And Trust 1    
Subtotal $ 1,721,937  
Note Payable, Related Party $ 1,721,937 1,752,446
Interest Rate 3.25%  
Maturity Jul. 30, 2031  
ECHG [Member]    
Subtotal $ 8,004,483 9,986,459
ECHG [Member] | Note Payable Farmers State Bank    
Subtotal 6,171,150  
Note Payable, Related Party $ 6,171,150 6,286,459
Interest Rate 3.10%  
Maturity Nov. 15, 2026  
Envela | Note Payable Texas Bank And Trust    
Subtotal $ 2,788,377  
Note Payable, Related Party $ 2,788,377 $ 2,843,415
Interest Rate 3.25%  
Maturity Nov. 04, 2025