Post-effective amendment to a registration statement that is not immediately effective upon filing

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

v3.22.2.2
CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2022
Jun. 30, 2021
P3 Health Partners Inc.        
Financial Designation, Predecessor and Successor [Fixed List] Successor Predecessor Successor Predecessor
OPERATING REVENUE:        
TOTAL OPERATING REVENUE $ 269,453,971 $ 144,586,444 $ 542,998,305 $ 295,884,386
OPERATING EXPENSES:        
Medical Expenses 267,448,368 150,380,517 533,269,170 297,005,022
Premium Deficiency Reserve (1,489,571) 1,000,000 (2,814,084) 3,000,000
Corporate, General and Administrative Expenses 41,098,400 18,390,659 79,697,812 33,449,735
Sales and Marketing Expenses 1,408,096 356,501 2,272,626 626,742
Goodwill impairment 851,455,754   851,455,754 0
Depreciation and Amortization 21,720,081 429,830 43,471,912 762,378
TOTAL OPERATING EXPENSES 1,181,641,128 170,557,507 1,507,353,190 334,843,877
OPERATING LOSS (912,187,157) (25,971,063) (964,354,885) (38,959,491)
OTHER INCOME (EXPENSES):        
Interest Expense, net (2,733,875) (2,369,764) (5,495,125) (4,494,049)
Mark-to-Market of Stock Warrants 11,815,093 (1,123,583) 5,953,817 (10,661,579)
TOTAL OTHER INCOME (EXPENSE) 9,081,218 (3,493,347) 458,692 (15,155,628)
LOSS BEFORE INCOME TAXES (903,105,939) (29,464,410) (963,896,193) (54,115,119)
PROVISION FOR INCOME TAXES     0 0
NET LOSS (903,105,939) (29,464,410) (963,896,193) (54,115,119)
LESS NET LOSS ATTRIBUTABLE TO NON-CONTROLLING INTERESTS (748,755,990)   (798,968,740)  
NET LOSS ATTRIBUTABLE TO CONTROLLING INTERESTS $ (154,349,949) $ (29,464,410) $ (164,927,453) $ (54,115,119)
NET LOSS PER SHARE (BASIC) $ (3.71) [1] $ (3.97) [1]
NET LOSS PER SHARE (DILUTED) $ (3.73) [1] $ (4.01) [1]
P3 Health Partners Inc. | Capitated Revenue        
OPERATING REVENUE:        
TOTAL OPERATING REVENUE $ 267,102,466 $ 141,560,867 $ 536,787,281 $ 290,525,057
P3 Health Partners Inc. | Other Patient Service Revenue        
OPERATING REVENUE:        
TOTAL OPERATING REVENUE $ 2,351,505 $ 3,025,577 $ 6,211,024 $ 5,359,329
[1] ) The Company analyzed the calculation of net loss per member unit for predecessor periods prior to the Business Combinations and determined that it resulted in values that would not be meaningful to the users of these consolidated financial statements. Therefore, net loss per member unit information has not been presented for predecessor periods prior to the Business Combinations on December 3, 2021.