XML 40 R23.htm IDEA: XBRL DOCUMENT v3.22.1
Business, Basis of Presentation and Accounting Policies (Tables)
3 Months Ended
Mar. 31, 2022
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Cash, Cash Equivalents and Restricted Cash
The Company considers all highly liquid investments purchased with a maturity of three months or less to be cash equivalents. We maintain our bank accounts with a relatively small number of high-quality financial institutions.

Restricted cash as of March 31, 2022 and 2021 consisted of cash on deposit for a repurchase facility and client application deposits, title premiums collected from the insured that are due to the underwritten, principal and interest received in collection accounts for purchased assets, and a $25,000 bond.
March 31,
20222021
Cash and cash equivalents$2,310,661 $2,864,906 
Restricted cash77,027 75,647 
Total cash, cash equivalents, and restricted cash in the statement of cash flows$2,387,688 $2,940,553 
Schedule of Cash, Cash Equivalents and Restricted Cash
The Company considers all highly liquid investments purchased with a maturity of three months or less to be cash equivalents. We maintain our bank accounts with a relatively small number of high-quality financial institutions.

Restricted cash as of March 31, 2022 and 2021 consisted of cash on deposit for a repurchase facility and client application deposits, title premiums collected from the insured that are due to the underwritten, principal and interest received in collection accounts for purchased assets, and a $25,000 bond.
March 31,
20222021
Cash and cash equivalents$2,310,661 $2,864,906 
Restricted cash77,027 75,647 
Total cash, cash equivalents, and restricted cash in the statement of cash flows$2,387,688 $2,940,553