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

Variable Interest Entities (Tables)

v3.22.2.2
Variable Interest Entities (Tables)
6 Months Ended 12 Months Ended
Jun. 30, 2022
Dec. 31, 2021
P3 Health Partners Inc.    
Variable Interest Entity [Line Items]    
Summary of balance sheet and income statement of VIEs

Successor

ASSETS

    

June 30, 2022

    

December 31, 2021

Cash

$

8,589,392

$

7,570,247

Client Fees and Insurance Receivable, net

 

22,025

 

60,815

Prepaid Expenses and Other Current Assets

 

513,781

 

406,372

Property, Plant and Equipment, net

 

45,134

 

36,416

Investment in Other P3 Entities

 

6,000,000

 

6,000,000

TOTAL ASSETS

 

15,170,332

 

14,073,850

LIABILITIES AND MEMBERS’ DEFICIT

 

  

 

  

Accounts Payable and Accrued Expenses

 

6,677,891

 

4,804,704

Accrued Payroll

 

1,143,976

 

1,303,615

Due to Consolidated Entities of P3

 

28,601,805

 

24,110,831

TOTAL LIABILITIES

 

36,423,672

 

30,219,150

MEMBERS’ DEFICIT

 

(21,253,340)

 

(16,145,300)

TOTAL LIABILITIES AND MEMBERS’ DEFICIT

$

15,170,332

$

14,073,850

Successor

Predecessor

    

Three Months Ended

    

Three Months Ended

June 30, 2022

June 30, 2021

(As Restated)

Revenue

$

12,955,029

$

2,081,167

Expenses

 

16,057,134

 

1,870,227

Net Loss

$

(3,102,105)

$

210,940

Successor

Predecessor

    

Six Months Ended

    

Six Months Ended

June 30, 2022

June 30, 2021

(As Restated)

Revenue

$

25,868,574

$

4,119,517

Expenses

 

30,976,614

 

7,190,869

Net Loss

$

(5,108,040)

$

(3,071,352)

Successor

Predecessor

    

  

  

2020

2021

(As Restated)

ASSETS

Cash

$

7,570,247

$

183,836

Client Fees and Insurance Receivable, net

 

60,815

 

335,358

Prepaid Expenses and Other Current Assets

 

406,372

 

285,363

Property and Equipment, net

 

36,416

 

22,309

Investment in Other P3 Entities

6,000,000

TOTAL ASSETS

$

14,073,850

$

826,866

LIABILITIES AND MEMBERS’ DEFICIT

 

  

 

  

Accounts Payable and Accrued Expenses

$

4,804,704

$

686,680

Accrued Payroll

 

1,303,615

 

1,019,940

Due to Consolidated Entities of P3

 

24,110,831

 

19,354,259

TOTAL LIABILITIES

 

30,219,150

 

21,060,879

MEMBERS’ DEFICIT

 

(16,145,300)

 

(20,234,013)

TOTAL LIABILITIES AND MEMBERS’ DEFICIT

$

14,073,850

$

826,866

Successor

Predecessor

December 3, 2021

January 1, 2021

Year Ended

Year Ended

through December 31,

through December 2,

December 31, 2020

December 31, 2019

    

2021

  

  

2021

    

(As Restated)

    

(As Restated)

Revenue

$

843,747

$

7,580,124

$

7,611,427

$

4,389,688

Expenses

 

1,202,951

12,293,365

 

13,100,138

 

13,035,788

Net Loss

$

(359,204)

$

(4,713,241)

$

(5,488,711)

$

(8,646,100)