Restatement of Previously Issued Financial Statements (Details) - USD ($) |
1 Months Ended | 3 Months Ended | 6 Months Ended | 9 Months Ended | 11 Months Ended | 12 Months Ended | |||||||||||
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Dec. 31, 2021 |
Sep. 30, 2021 |
Jun. 30, 2021 |
Mar. 31, 2021 |
Sep. 30, 2020 |
Jun. 30, 2020 |
Mar. 31, 2020 |
Jun. 30, 2021 |
Jun. 30, 2020 |
Sep. 30, 2021 |
Sep. 30, 2020 |
Dec. 02, 2021 |
Dec. 31, 2020 |
Dec. 31, 2019 |
Dec. 31, 2018 |
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Consolidated Balance Sheet | |||||||||||||||||
Health Plan Settlement Receivables | $ 50,251,004 | $ 44,962,787 | |||||||||||||||
Total Current Assets | 199,860,950 | 90,880,587 | |||||||||||||||
Total Assets | [1] | 2,364,108,460 | 106,435,206 | ||||||||||||||
Accumulated Deficit (formerly Accumulated Loss from Controlling Interests) | (39,418,124) | (130,485,179) | |||||||||||||||
Total Member's Deficit | 273,551,441 | $ (272,916,391) | (130,217,705) | $ (99,073,637) | $ (55,684,119) | ||||||||||||
Total Liabilities, Mezzanine Equity & Members' Equity (Deficit) | 2,364,108,460 | 106,435,206 | |||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | 58,762,397 | 578,602,418 | 491,063,525 | 145,482,112 | |||||||||||||
Medical Expenses | 66,877,005 | 592,465,049 | 484,502,423 | 141,029,737 | |||||||||||||
Total Operating Expenses | 117,650,063 | 707,660,010 | 519,651,203 | 185,017,783 | |||||||||||||
Operating Loss | (58,887,666) | (129,057,592) | (28,587,678) | (39,535,671) | |||||||||||||
Interest Expense, net | (1,321,922) | (9,677,477) | (2,533,180) | (2,533,842) | |||||||||||||
Total Other Income (Expense) | 949,737 | (17,342,346) | (2,823,864) | (2,435,887) | |||||||||||||
Net Loss Attributable to Noncontrolling Interest | (47,856,729) | ||||||||||||||||
Net Loss (formerly Net Loss Attributable to Controlling Interests) | (10,081,200) | (146,399,938) | (31,411,542) | (41,971,558) | |||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Total Member's Deficit | 273,551,441 | (272,916,391) | (130,217,705) | (99,073,637) | (55,684,119) | ||||||||||||
Net Loss | 57,937,929 | 146,399,938 | 31,411,542 | 41,971,558 | |||||||||||||
Redemption of Units | (180,000) | ||||||||||||||||
Modification | (1,892,002) | ||||||||||||||||
Consolidated Statements of Cash Flows | |||||||||||||||||
Net Loss | 57,937,929 | 146,399,938 | 31,411,542 | 41,971,558 | |||||||||||||
Capitated Revenue | |||||||||||||||||
Restatement of Previously Issued Financial Statements | |||||||||||||||||
Total RAF adjustments | 6,532,954 | ||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Health Plan Settlement Receivables | 50,251,004 | 44,962,787 | |||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | 57,224,539 | 567,735,297 | 480,739,577 | 139,332,707 | |||||||||||||
Other Patient Service Revenue | |||||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | $ 1,537,858 | 10,867,121 | $ 10,323,948 | $ 6,149,405 | |||||||||||||
Class A and Class D Units | |||||||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Preferred return | 8.00% | 8.00% | |||||||||||||||
Class A Units Subject to Possible Redemption | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Units subject to possible redemption | $ 43,656,270 | ||||||||||||||||
Class D Units Subject To Possible Redemption | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Units subject to possible redemption | 47,041,554 | ||||||||||||||||
Class A Preferred Units | |||||||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Preferred return | 8.00% | ||||||||||||||||
Class D Units Subject To Possible Redemption | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Units subject to possible redemption | $ 47,041,554 | 47,041,554 | $ 47,041,554 | ||||||||||||||
As Previously Reported | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Health Plan Settlement Receivables | $ 3,687,918 | 38,429,833 | |||||||||||||||
Total Current Assets | 78,762,484 | 84,347,633 | |||||||||||||||
Total Assets | 94,189,692 | 99,902,252 | |||||||||||||||
Contributed Capital | $ 41,764,270 | $ 41,764,270 | 41,764,270 | $ 41,764,270 | $ 41,764,270 | 41,764,270 | 41,764,270 | ||||||||||
Class A Preferred Returns | 6,594,660 | 5,632,496 | 4,705,644 | 5,632,496 | 6,594,660 | 3,815,034 | 430,230 | ||||||||||
Accumulated Equity-Based Compensation | 2,747,960 | 2,392,875 | 1,829,084 | 2,392,875 | 2,747,960 | 1,368,567 | 921,092 | ||||||||||
Accumulated Loss from Controlling Interests | (23,429,094) | (23,429,094) | |||||||||||||||
Retained Loss from Non-Controlling Interests | (26,231,059) | (21,469,673) | (26,231,059) | (18,187,381) | (13,880,310) | ||||||||||||
Accumulated Deficit (formerly Accumulated Loss from Controlling Interests) | (203,942,517) | (172,576,003) | (149,567,493) | (172,576,003) | (203,942,517) | (126,242,225) | (85,167,716) | ||||||||||
Total Member's Deficit | (179,246,686) | (146,395,455) | (122,918,168) | $ (84,110,848) | $ (69,173,164) | $ 63,212,106 | (146,395,455) | $ (69,173,164) | (179,246,686) | $ (84,110,848) | (97,661,735) | (55,932,434) | (13,868,589) | ||||
Total Liabilities, Mezzanine Equity & Members' Equity (Deficit) | 94,189,692 | 99,902,252 | |||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | 156,520,255 | 151,418,598 | 151,564,380 | 128,840,991 | 116,864,492 | 114,958,796 | 302,982,979 | 231,823,288 | 459,503,232 | 360,664,280 | 485,541,291 | 145,894,832 | |||||
Medical Expenses | 161,662,423 | 150,679,717 | 146,890,945 | 127,015,976 | 105,777,973 | 115,464,322 | 297,570,662 | 221,242,295 | 459,233,085 | 348,258,272 | 485,513,143 | 141,442,457 | |||||
Total Operating Expenses | 520,661,923 | 185,430,503 | |||||||||||||||
Operating Loss | (19,438,108) | (32,426,538) | (60,550,077) | (35,120,632) | |||||||||||||
Interest Expense, net | (9,970,260) | (3,479,139) | |||||||||||||||
Total Other Income (Expense) | (10,260,944) | (3,381,184) | |||||||||||||||
Net Loss Attributable to Noncontrolling Interest | (2,801,965) | (1,959,421) | (3,282,292) | 875,560 | (2,774,562) | (1,550,953) | (5,241,713) | (4,325,515) | (8,043,678) | (3,449,955) | (4,307,071) | (7,907,592) | |||||
Net Loss (formerly Net Loss Attributable to Controlling Interests) | (41,074,505) | (35,009,263) | |||||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Total Member's Deficit | (179,246,686) | (146,395,455) | (122,918,168) | (84,110,848) | (69,173,164) | 63,212,106 | (146,395,455) | (69,173,164) | (179,246,686) | (84,110,848) | (97,661,735) | (55,932,434) | (13,868,589) | ||||
Net Loss | (45,381,576) | (42,916,855) | |||||||||||||||
Consolidated Statements of Cash Flows | |||||||||||||||||
Net Loss | (45,381,576) | (42,916,855) | |||||||||||||||
Health Plan Settlements Receivable/Premiums Receivable | (20,974,286) | ||||||||||||||||
Class A and Class D Preferred Returns | 1,956,848 | (1,859,271) | 3,993,325 | 3,718,542 | 6,107,441 | 5,577,812 | 7,437,080 | 945,297 | |||||||||
As Previously Reported | Capitated Revenue | |||||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | 152,276,992 | 147,159,665 | 147,700,465 | 124,461,275 | 114,042,681 | 112,514,334 | 226,557,015 | 447,137,121 | 351,018,290 | 471,551,241 | 138,727,943 | ||||||
As Previously Reported | Other Patient Service Revenue | |||||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | 4,243,263 | 4,258,933 | 3,863,915 | 4,379,716 | 2,821,811 | 2,444,462 | 8,122,849 | 5,266,273 | 12,366,111 | 9,645,990 | 13,990,050 | 7,166,889 | |||||
As Previously Reported | Class A and Class D Units | |||||||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Preferred Return(s) at 8% | 7,437,080 | 945,298 | |||||||||||||||
As Previously Reported | Class D Units Subject To Possible Redemption | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Units subject to possible redemption | 54,936,716 | 53,784,760 | 52,675,137 | 53,784,760 | 54,936,716 | 51,608,900 | 47,556,622 | ||||||||||
As Previously Reported | Class A Preferred Units | |||||||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Conversion of Debt to Units | 3,764,025 | ||||||||||||||||
Units Issued | 11,184,468 | ||||||||||||||||
Redemption of Units | (15,000,000) | ||||||||||||||||
Network Adjustments | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Accumulated Loss from Controlling Interests | 23,429,094 | 23,429,094 | |||||||||||||||
Retained Loss from Non-Controlling Interests | 26,231,059 | 21,469,673 | 26,231,059 | 18,187,381 | 13,880,310 | ||||||||||||
Accumulated Deficit (formerly Accumulated Loss from Controlling Interests) | (26,231,059) | (23,429,094) | (21,469,673) | (23,429,094) | (26,231,059) | (18,187,381) | (13,880,310) | ||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Net Loss Attributable to Noncontrolling Interest | 2,801,965 | 1,959,421 | 3,282,292 | (875,560) | 2,774,562 | 1,550,953 | 5,241,713 | 4,325,515 | 8,043,678 | 3,449,955 | 4,307,071 | 7,907,592 | |||||
Net Loss (formerly Net Loss Attributable to Controlling Interests) | (4,307,071) | (7,907,592) | |||||||||||||||
Preferred Returns Adjustments | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Class A Preferred Returns | (6,594,660) | (5,632,496) | (4,705,644) | (5,632,496) | (6,594,660) | (3,815,034) | (430,230) | ||||||||||
Accumulated Deficit (formerly Accumulated Loss from Controlling Interests) | 14,489,765 | 12,375,705 | 10,339,227 | 12,375,705 | 14,489,765 | 8,382,381 | 945,297 | ||||||||||
Total Member's Deficit | 7,895,167 | 6,743,106 | 5,633,581 | 3,558,027 | 2,539,562 | (1,527,340) | 6,743,106 | 2,539,562 | 7,895,167 | 3,558,027 | 4,567,346 | 515,068 | |||||
Consolidated Statement of Operations | |||||||||||||||||
Interest Expense, net | 7,437,080 | 945,297 | |||||||||||||||
Total Other Income (Expense) | 7,437,080 | 945,297 | |||||||||||||||
Net Loss (formerly Net Loss Attributable to Controlling Interests) | 7,437,080 | 945,297 | |||||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Total Member's Deficit | 7,895,167 | 6,743,106 | 5,633,581 | 3,558,027 | 2,539,562 | (1,527,340) | 6,743,106 | 2,539,562 | 7,895,167 | 3,558,027 | 4,567,346 | 515,068 | |||||
Net Loss | 7,437,080 | 945,297 | |||||||||||||||
Consolidated Statements of Cash Flows | |||||||||||||||||
Net Loss | 7,437,080 | 945,297 | |||||||||||||||
Class A and Class D Preferred Returns | (1,956,848) | 1,859,271 | (3,993,325) | (3,718,542) | (6,107,441) | (5,577,812) | (7,437,080) | (945,297) | |||||||||
Preferred Returns Adjustments | Class A and Class D Units | |||||||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Preferred Return(s) at 8% | (7,437,080) | (945,298) | |||||||||||||||
Preferred Returns Adjustments | Class D Units Subject To Possible Redemption | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Units subject to possible redemption | (7,895,162) | (6,743,207) | (5,633,583) | (6,743,207) | (7,895,162) | (4,567,346) | (515,068) | ||||||||||
Class A Units Adjustments | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Contributed Capital | (41,764,270) | (41,764,270) | (41,764,270) | (41,764,270) | (41,764,270) | (41,764,270) | (41,764,270) | ||||||||||
Accumulated Equity-Based Compensation | (921,092) | (921,092) | (921,092) | (921,092) | (921,092) | (921,092) | (921,092) | ||||||||||
Accumulated Deficit (formerly Accumulated Loss from Controlling Interests) | (970,908) | (970,908) | (970,908) | (970,908) | (970,908) | (970,908) | (970,908) | ||||||||||
Total Member's Deficit | (43,656,331) | (43,656,170) | (43,656,269) | (43,656,271) | (43,656,272) | 43,656,272 | (43,656,170) | (43,656,272) | (43,656,331) | (43,656,271) | (43,656,270) | (43,656,271) | (41,815,530) | ||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Total Member's Deficit | (43,656,331) | (43,656,170) | (43,656,269) | (43,656,271) | (43,656,272) | 43,656,272 | (43,656,170) | (43,656,272) | (43,656,331) | (43,656,271) | (43,656,270) | (43,656,271) | (41,815,530) | ||||
Class A Units Adjustments | Class A Units Subject to Possible Redemption | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Units subject to possible redemption | 43,656,270 | 43,656,270 | 43,656,270 | 43,656,270 | 43,656,270 | 43,656,270 | 43,656,270 | ||||||||||
Class A Units Adjustments | Class A Preferred Units | |||||||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Conversion of Debt to Units | (3,764,025) | ||||||||||||||||
Units Issued | (11,184,468) | ||||||||||||||||
Redemption of Units | 15,000,000 | ||||||||||||||||
Modification | (1,892,002) | ||||||||||||||||
Revenue Adjustments | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Health Plan Settlement Receivables | 6,532,954 | 6,532,954 | |||||||||||||||
Total Current Assets | 6,532,954 | 6,532,954 | |||||||||||||||
Total Assets | 6,532,954 | 6,532,954 | |||||||||||||||
Accumulated Deficit (formerly Accumulated Loss from Controlling Interests) | 6,532,954 | 6,532,954 | |||||||||||||||
Total Member's Deficit | 6,532,954 | 6,532,954 | |||||||||||||||
Total Liabilities, Mezzanine Equity & Members' Equity (Deficit) | 6,532,954 | 6,532,954 | |||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | (334,300) | (6,832,155) | (266,440) | (297,500) | (152,040) | (150,800) | (7,098,593) | (302,840) | (7,432,894) | (600,340) | 5,522,234 | (412,720) | |||||
Medical Expenses | (334,300) | (299,200) | (266,440) | (297,500) | (152,040) | (150,800) | (565,640) | (302,840) | (899,940) | (600,340) | (1,010,720) | (412,720) | |||||
Total Operating Expenses | (1,010,720) | (412,720) | |||||||||||||||
Operating Loss | (6,532,955) | (6,532,953) | (6,532,954) | 6,532,954 | |||||||||||||
Net Loss (formerly Net Loss Attributable to Controlling Interests) | 6,532,954 | ||||||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Total Member's Deficit | 6,532,954 | 6,532,954 | |||||||||||||||
Net Loss | 6,532,954 | ||||||||||||||||
Consolidated Statements of Cash Flows | |||||||||||||||||
Net Loss | 6,532,954 | ||||||||||||||||
Health Plan Settlements Receivable/Premiums Receivable | (6,532,954) | ||||||||||||||||
Revenue Adjustments | Capitated Revenue | |||||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | 796,003 | (5,598,799) | 1,263,725 | 721,351 | 472,742 | 436,017 | 908,759 | (3,539,071) | 1,630,111 | 9,188,336 | 604,764 | ||||||
Revenue Adjustments | Other Patient Service Revenue | |||||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | (1,130,303) | (1,233,356) | (1,530,165) | (1,018,851) | (624,782) | (586,817) | (2,763,520) | (1,211,599) | (3,893,823) | (2,230,451) | (3,666,102) | (1,017,484) | |||||
As Restated | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Health Plan Settlement Receivables | 10,220,872 | 44,962,787 | |||||||||||||||
Total Current Assets | 85,295,438 | 90,880,587 | |||||||||||||||
Total Assets | 100,722,646 | 106,435,206 | |||||||||||||||
Accumulated Equity-Based Compensation | 1,826,868 | 1,471,783 | 907,992 | 1,471,783 | 1,826,868 | 447,475 | |||||||||||
Accumulated Deficit (formerly Accumulated Loss from Controlling Interests) | (216,654,719) | (184,600,300) | (155,135,893) | (184,600,300) | (216,654,719) | (130,485,179) | (99,073,637) | ||||||||||
Total Member's Deficit | (215,007,850) | (183,308,519) | (154,407,902) | (124,209,092) | (110,289,874) | 105,341,038 | (183,308,519) | (110,289,874) | (215,007,850) | (124,209,092) | (130,217,705) | (99,073,637) | (55,684,119) | ||||
Total Liabilities, Mezzanine Equity & Members' Equity (Deficit) | 100,722,646 | 106,435,206 | |||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | 156,185,955 | 144,586,443 | 151,297,940 | 128,543,491 | 116,712,452 | 114,807,996 | 295,884,386 | 231,520,448 | 452,070,338 | 360,063,940 | 491,063,525 | 145,482,112 | |||||
Medical Expenses | 161,328,123 | 150,380,517 | 146,624,505 | 126,718,476 | 105,625,933 | 115,313,522 | 297,005,022 | 220,939,455 | 458,333,145 | 347,657,932 | 484,502,423 | 141,029,737 | |||||
Total Operating Expenses | 519,651,203 | 185,017,783 | |||||||||||||||
Operating Loss | (25,971,063) | (38,959,491) | (67,083,031) | (28,587,678) | |||||||||||||
Interest Expense, net | (2,533,180) | (2,533,842) | |||||||||||||||
Total Other Income (Expense) | (2,823,864) | (2,435,887) | |||||||||||||||
Net Loss (formerly Net Loss Attributable to Controlling Interests) | (31,411,542) | (41,971,558) | |||||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Total Member's Deficit | (215,007,850) | (183,308,519) | (154,407,902) | (124,209,092) | (110,289,874) | 105,341,038 | (183,308,519) | (110,289,874) | (215,007,850) | (124,209,092) | (130,217,705) | (99,073,637) | $ (55,684,119) | ||||
Net Loss | (31,411,542) | (41,971,558) | |||||||||||||||
Consolidated Statements of Cash Flows | |||||||||||||||||
Net Loss | (31,411,542) | (41,971,558) | |||||||||||||||
Health Plan Settlements Receivable/Premiums Receivable | (27,507,240) | ||||||||||||||||
As Restated | Capitated Revenue | |||||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | 153,072,995 | 141,560,866 | 148,964,190 | 125,182,626 | 114,515,423 | 112,950,351 | 227,465,774 | 443,598,050 | 352,648,401 | 480,739,577 | 139,332,707 | ||||||
As Restated | Other Patient Service Revenue | |||||||||||||||||
Consolidated Statement of Operations | |||||||||||||||||
Total Operating Revenue | 3,112,960 | 3,025,577 | 2,333,750 | $ 3,360,865 | $ 2,197,029 | $ 1,857,645 | 5,359,329 | $ 4,054,674 | 8,472,288 | $ 7,415,539 | 10,323,948 | 6,149,405 | |||||
As Restated | Class A Units Subject to Possible Redemption | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Units subject to possible redemption | 43,656,270 | 43,656,270 | 43,656,270 | 43,656,270 | 43,656,270 | 43,656,270 | 43,656,270 | ||||||||||
As Restated | Class D Units Subject To Possible Redemption | |||||||||||||||||
Consolidated Balance Sheet | |||||||||||||||||
Units subject to possible redemption | $ 47,041,554 | $ 47,041,553 | $ 47,041,554 | $ 47,041,553 | $ 47,041,554 | $ 47,041,554 | 47,041,554 | ||||||||||
As Restated | Class A Preferred Units | |||||||||||||||||
Consolidated Statements of Changes in Members' Deficit | |||||||||||||||||
Modification | $ (1,892,002) | ||||||||||||||||
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