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Schedule of Fair Value, Liabilities Measured On Recurring Basis (Details)
12 Months Ended
Dec. 31, 2022
USD ($)
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]  
Financial instrument fair value, beginning $ 3,900,000
Financial instrument fair value, ending 1,600,000
Equity Investments [Member]  
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]  
Financial instrument fair value, beginning 4,615,849
Net unrealized gains 4,700,000
Net unrealized losses (2,307,657)
Purchases, issuances and settlements 499,998
Financial instrument fair value, ending $ 7,508,190