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LONG TERM DEBT (Details) - USD ($)
3 Months Ended
Mar. 31, 2023
Dec. 31, 2022
Subtotal $ 15,666,598  
Avail Transaction Note    
Note payable, related party $ 1,333,333 $ 1,500,000
Interest rate   0.00%
Maturity Apr. 01, 2025  
DGSE [Member]    
Subtotal $ 5,634,291 $ 5,690,152
ECHG [Member]    
Subtotal 7,328,164 7,554,565
Envela    
Subtotal 1,333,333 2,732,688
Current portion 1,246,961 1,250,702
Note payable, related party $ 15,666,598 $ 15,977,405
Interest rate   3.25%
Maturity Nov. 04, 2025  
Note Payable Farmers State Bank | DGSE [Member]    
Subtotal $ 2,642,199 $ 2,668,527
Interest rate   3.10%
Maturity Nov. 15, 2026  
Note Payable Farmers State Bank | ECHG [Member]    
Subtotal $ 5,994,831 $ 6,054,565
Note payable, related party   $ 0
Interest rate   3.10%
Maturity Nov. 15, 2026  
Texas Bank and Trust    
Subtotal $ 1,675,086 $ 14,726,703
Note Payable Truist Bank | DGSE [Member]    
Subtotal $ 865,437 $ 874,418
Interest rate   3.65%
Maturity Jul. 09, 2030  
Note Payable Texas Bank And Trust | DGSE [Member]    
Subtotal $ 451,569 $ 456,187
Interest rate   3.75%
Maturity Sep. 14, 2025  
Revolving Line Of Credit    
Subtotal $ 0 $ 0
Interest rate   3.10%
Maturity Nov. 15, 2024  
Note Payable Texas Bank And Trust 1 | DGSE [Member]    
Note payable, related party $ 1,675,086 $ 1,691,020
Interest rate   3.25%
Maturity Jul. 30, 2031