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NOTE 15 – COMMITMENTS AND CONTINGENCIES (Tables)
9 Months Ended
Sep. 30, 2020
Commitments and Contingencies Disclosure [Abstract]  
Supplemental lease information
Supplemental lease information:  September 30,
2020
   December 31,
2019
 
Right-of-use asset  $9,975,725   $10,109,154 
Short-term operating lease liability (included in Other current liabilities)  $2,404,286   $1,501,539 
Long-term operating lease liability  $8,907,995   $9,145,049 
Weighted average remaining term   8.8 years    9 years 
Weighted average discount rate   8.3%    8.25% 
         

Supplemental cash flow information

for the nine months ended

  September 30,  
2020
   September 30,  
2019
 
Cash paid for amounts included in the measurement of lease liabilities for operating lease  $1,006,970   $849,440 
Right-of-use assets obtained in exchange for lease obligation  $998,821   $11,171,471 
The following table reconciles the undiscounted cash flows for all operating leases at September 30, 2020 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, 2020 to the operating lease liabilities recorded on the balance sheet:

 

Years Ended December 31,     
2020 (3 months)   $610,675 
2021    2,334,582 
2022    1,413,289 
2023    1,443,143 
2024    1,476,534 
Thereafter    8,947,869 
Total undiscounted lease payments    16,226,092 
Less: imputed interest    (4,913,811)
Present value of lease payments   $11,312,281