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Consolidated Statements of Operations - USD ($)
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
REVENUES    
Total revenues $ 12,881,675 $ 12,655,527
OPERATING EXPENSES    
Operating expenses 22,487,970 18,099,750
Selling, general and administrative expenses 7,393,834 5,516,693
Loss on Impairment 7,454,692
Research & development 1,741,177
Depreciation and amortization expenses 529,748 601,314
Total operating expenses 37,866,244 25,958,934
Operating loss (24,984,569) (13,303,407)
Other (income) expenses    
Interest and other expense 1,381,670 472,954
Gain on sale of investment (1,172,151)
Unrealized gain/(loss) on equity investments 1,284,000
Other (income)/expenses (1,596,740) (169,751)
PPP Loan Forgiveness (1,616,104)
Total other (income)/expenses (3,003,325) 1,587,203
Net Loss from continuing operations (21,981,244) (14,890,610)
(Loss) Income from discontinued operations, net of tax (Note 5) 2,474,569 1,115,540
Net loss (19,506,675) (13,775,070)
Net (loss) gain attributable to non-controlling interest (178,745) 1,994,708
Preferred stock dividend (5,888,013) (10,944,480)
Net loss applicable to Clearday, Inc. $ (25,573,433) $ (22,724,842)
Basic and diluted loss per share attributable to Clearday, Inc.    
Net loss from continued operations $ (2.03) $ (1.20)
Net loss/income from discontinued operations 0.18 0.092
Net loss $ (1.85) $ (1.11)
Weighted average common shares basic and diluted outstanding 13,791,741 12,373,493
Resident Fee [Member]    
REVENUES    
Total revenues $ 12,603,346 $ 12,655,527
Adult Day Care and Other [Member]    
REVENUES    
Total revenues 242,019
Commercial Property Rental Revenue [Member]    
REVENUES    
Total revenues $ 36,310