Quarterly report pursuant to Section 13 or 15(d)

Significant Accounting Policies (Tables)

v3.22.2.2
Significant Accounting Policies (Tables)
3 Months Ended
Mar. 31, 2022
Significant Accounting Policies  
Summary of total cash balances

Successor

    

March 31, 2022

    

December 31, 2021

Checking

$

110,345,801

$

140,477,586

Restricted

 

356,242

 

356,286

Total Cash Balances

$

110,702,043

$

140,833,872

    

Predecessor

March 31, 2021

Unrestricted

$

22,341,413

Restricted

 

3,687,918

Total Cash Balances

$

26,029,331

Summary of health plans from which the Company has a concentration of revenue that is 10.0%, or more

Successor

Predecessor

 

Three Months

Three Months

Ended

 

Ended

March 31, 2021

 

Revenue Type

    

March 31, 2022

    

% of Total

  

  

(As Restated)

    

% of Total

 

Capitated Revenue

$

269,684,815

 

98.6

%  

$

148,964,190

 

98.5

%

Other Patient Service Revenue:

Clinical Fees & Insurance Revenue

 

1,882,254

 

0.7

%  

 

821,762

 

0.5

%

Care Coordination / Management Fees

 

1,921,105

 

0.7

%  

 

1,503,353

 

1.0

%

Incentive Fees

 

56,160

 

0.0

%  

 

8,635

 

0.0

%

Total Other Patient Service Revenue

 

3,859,519

 

1.4

%  

 

2,333,750

 

1.5

%

Total Revenue

$

273,544,334

 

100.0

%  

$

151,297,940

 

100.0

%

Successor

Predecessor

 

Three Months

  

  

Three Months

 

Ended

Ended

 

Plan Name

    

March 31, 2022

    

% of Total

  

  

March 31, 2021

    

% of Total

 

Health Plan C

$

55,321,176

 

20.2

%  

$

19,280,237

 

12.7

%

Health Plan B

 

48,019,382

 

17.6

%  

 

33,952,002

 

22.5

%

Health Plan A

 

45,238,065

 

16.5

%  

 

43,254,924

 

28.6

%

Health Plan D

 

36,862,961

 

13.5

%  

 

27,694,259

 

18.3

%

All Other

 

88,102,750

 

32.2

%  

 

27,116,518

 

17.9

%

Total Revenue

$

273,544,334

 

100.0

%  

$

151,297,940

 

100.0

%

Summary of settlement receivables (health plan surpluses) and settlement payables (health plan deficits), by health plan, by year

Health Plan Receivables

Successor

    

March 31, 2022

    

December 31, 2021

Health Plan A

$

11,959,398

$

4,695,712

Health Plan B

 

25,363,650

 

15,473,828

Health Plan C

 

21,171,875

 

1,380,752

Health Plan D

 

5,403,444

 

6,651,586

Health Plan E

 

1,925,609

 

2,439,046

Health Plan F

 

2,481,449

 

2,925,751

Health Plan G

 

4,810

 

239,375

Health Plan H

 

5,393,408

 

2,185,619

Health Plan I

 

1,195,066

 

1,134,750

Health Plan J

 

(76,957)

 

149,915

Health Plan K

 

3,458,907

 

2,705,147

Health Plan L

 

1,086,891

 

899,560

Health Plan M

 

3,079,579

 

1,747,116

Health Plan N

 

1,380,499

 

974,092

Health Plan O

 

2,799,215

 

666,291

Health Plan P

 

343,015

 

106,162

Health Plan Q

 

209,930

 

61,990

Health Plan R

 

4,008,617

 

3,578,682

Health Plan S

 

289,045

 

Health Plan T

 

2,606,401

 

2,175,324

Health Plan U

 

503,851

 

60,306

Total Health Plan Receivables

$

94,587,702

$

50,251,004

Health Plan Settlement Payables

Successor

    

March 31, 2022

    

December 31, 2021

Health Plan A

$

109,084

$

Health Plan B

 

11,700,274

 

11,700,274

Health Plan D

 

 

3,882,250

Health Plan F

 

5,847,814

 

6,085,425

Health Plan G

 

835,623

 

776,164

Health Plan I

 

(166,562)

 

(215,626)

Health Plan O

 

(910)

 

(39,151)

Health Plan U

 

226,209

 

226,209

Health Plan V

 

88,481

 

133,149

Total Health Plan Settlement Payables

$

18,640,013

$

22,548,694