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NOTE 15 – COMMITMENTS AND CONTINGENCIES (Tables)
9 Months Ended
Sep. 30, 2019
Commitments and Contingencies Disclosure [Abstract]  
Supplemental lease information
Supplemental lease information
at September 30, 2019
     
Right-of-use asset   $ 10,459,635  
Short-term operating lease liability (included in Other current liabilities)   $ 1,242,290  
Long-term operating lease liability   $ 9,500,133  
Weighted average remaining term     9 Years  
Weighted average discount rate     8.25 %
       
Supplemental cash flow information
for nine months ended September 30, 2019
     
Cash paid for amounts included in the measurement of lease liabilities for operating lease   $ 849,440  
Right-of-use assets obtained in exchange for lease obligation   $ 11,171,471  
The following table reconciles the undiscounted cash flows for all operating leases at September 30, 2019 to the operating lease liabilities recorded on the balance sheet:

The following table reconciles the undiscounted cash flows for all operating leases at September 30, 2019 to the operating lease liabilities recorded on the balance sheet:

 

     
Years Ending December 31,      
2019 (3 months)   $ 314,670  
2020     1,566,617  
2021     2,198,541  
2022     1,262,302  
2023     1,293,859  
Thereafter     9,363,136  
Total undiscounted lease payments     15,999,125  
Less: imputed interest     (5,256,702 )
Present value of lease payments   $ 10,742,423