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FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Sep. 24, 2022
Fair Value Disclosures [Abstract]  
SCHEDULE OF FAIR VALUE MEASUREMENTS OF FINANCIAL ASSETS

The following table details the fair value measurements of the Company’s financial assets:

 

   Total   Level 1   Level 2   Level 3 
       Fair Value Measurement at September 24, 2022 Using: 
   Total   Level 1   Level 2   Level 3 
Cash and cash equivalents  $9,625,414   $9,625,414   $   $ 
U.S. government securities   2,384,300        2,384,300     
Corporate debt   1,501,160        1,501,160     
Certificates of deposit   1,492,135    1,492,135         
Equity investments   7,612,065    212,616        7,399,449 
Financial instruments, owned, at fair value  $22,615,074   $11,330,165   $3,885,460   $7,399,449 

 

   Total   Level 1   Level 2   Level 3 
       Fair Value Measurement at December 25, 2021 Using: 
   Total   Level 1   Level 2   Level 3 
Cash and cash equivalents  $26,787,931   $26,787,931   $   $ 
U.S. government securities   1,000,650        1,000,650     
Corporate debt   1,506,885        1,506,885     
Equity investments   4,912,022    296,173        4,615,849 
Financial instruments, owned, at fair value  $34,207,488   $27,084,104   $2,507,535   $4,615,849 
SCHEDULE OF FAIR VALUE, LIABILITIES MEASURED ON RECURRING BASIS

Transfers between levels of the fair value hierarchy are reported at the beginning of the reporting period in which they occur. Changes in Level 3 investments were as follows:

 

   December 25,
2021
   Unrealized gains  

Unrealized losses

  

Purchases, issuances and settlements

   September 24,
2022
 
Equity investments  $4,615,849   $4,700,000   $(2,416,398)  $499,998   $7,399,449