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FAIR VALUE DISCLOSURES (Tables)
12 Months Ended
Sep. 30, 2024
FAIR VALUE DISCLOSURES  
Schedule of mandatorily redeemable non-controlling interest

For the Year Ended September 30,

2024

2023

Fair value of MRNCI, beginning of period

    

$

9,490,831

    

$

11,158,555

Redemption of non-controlling interests

(1,812,558)

(1,812,558)

Distributions to non-controlling interest

(507,741)

(1,162,765)

Change in fair value

1,040,968

1,307,599

Fair value of MRNCI, end of period

$

8,211,500

$

9,490,831

Less current portion at fair value

(1,703,604)

(1,703,604)

$

6,507,896

$

7,787,227

Schedule of changes in the fair value of the contingent consideration

Fair value of contingent consideration at acquisition

    

$

1,578,444

Change in fair value

(124,992)

Fair value of contingent consideration as of September 2024

$

1,453,452

Less current portion at fair value

(710,270)

$

743,182