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CONSOLIDATED CONDENSED BALANCE SHEETS (Parenthetical) - USD ($)
Dec. 31, 2021
Dec. 31, 2020
Allowance for doubtful accounts $ 140,400,000 $ 1,260,000
Obsolete inventory $ 1,040 $ 0
Common stock, par value $ 0.001 $ 0.001
Common stock, shares authorized (in thousands) 80,000,000 80,000
Common stock, shares issued (in thousands) 33,461,000 22,830
Common stock, shares outstanding (in thousands) 33,461 22,830
Prepaid expenses, VIE $ 5,598,000 $ 750,000
Other current assets, VIE 644,000 1,551,000
Property, plant and equipment, VIE 135,101,000 109,880,000
Operating lease right-of-use assets, VIE 2,462,000 2,889,000
Other assets, VIE 2,575,000 3,687,000
Accounts payable, VIE 16,415,000 20,739,000
Short term borrowings, VIE 14,586,000 14,541,000
Current portion of operating lease liability, VIE 260,000 316,000
Other current liabilities, VIE 5,872,000 4,524,000
Series A preferred units, VIE 44,978,000 32,022,000
Operating lease liability, VIE $ 2,578,000 $ 2,894,000
Series B preferred stock, par value $ 0.001  
Series B preferred stock, authorized (in thousands) 65,000 65,000
Series B preferred stock, shares issued (in thousands) 1,278 1,323
Series B preferred stock, shares outstanding (in thousands) 1,278 1,323
Series B Convertible Preferred Stock    
Series B preferred stock, par value $ 0.001 $ 0.001
Series B preferred stock, authorized (in thousands) 7,235,000 7,235
Series B preferred stock, shares issued (in thousands) 1,275,000 1,323
Series B preferred stock, shares outstanding (in thousands) 1,275 1,323
Aggregate liquidation preference $ 3,825,000 $ 3,969
Variable Interests Entity Primary Beneficiary [Member]    
Cash and cash equivalents, VIE 19,000 235,000
Prepaid expenses, VIE 335,000 192,000
Other current assets, VIE 0 741,000
Property, plant and equipment, VIE 39,625,000 22,628,000
Operating lease right-of-use assets, VIE 10,000 28,000
Other assets, VIE 38,000 24,000
Accounts payable, VIE 4,950,000 6,271,000
Short term borrowings, VIE 9 0
Accrued property taxes, VIE 121 0
Current portion of operating lease liability, VIE 11,000 10,000
Other current liabilities, VIE 306,000 129,000
Other long term debt, VIE 40,000 0
Series A preferred units, VIE 44,978,000 32,022,000
Operating lease liability, VIE 0 11,000
Other long term liabilities, VIE 0 74,000
Current portion of Series A preferred units, VIE $ 3,169,000 $ 2,015,000