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Business Combination (Details Narrative) - USD ($)
6 Months Ended
Mar. 03, 2020
Jun. 30, 2020
Mar. 31, 2020
Dec. 31, 2019
Common stock, par value   $ .02   $ .02
Equity ownership percentage   17.00%    
Debt instrument interest rate percentage   1.00%    
Debt principal amount   $ 818,000    
Warrant exercise price per share     $ 0.029  
Non-controlling interest   $ (181,000)  
Public Offering [Member]        
Initial public offering percentage   50.00%    
Public Offering [Member] | Maximum [Member]        
Share price   $ 10.00    
AMRE Asset Management Inc. [Member]        
Equity ownership percentage 52.50%      
Incurred cost   $ 364,000    
Non-controlling interest   $ 181,000    
American Medical Reit Inc. [Member]        
Equity ownership percentage 93.00%      
Singapore eDevelopment Limited [Member]        
Equity ownership percentage 82.00%      
Term Sheet [Member] | LiquidValue Asset Management Pte Ltd [Member]        
Equity ownership percentage 35.00%      
Term Sheet [Member] | AMRE Tennessee, LLC [Member]        
Equity ownership percentage 12.50%      
Term Sheet [Member] | American Medical Reit Inc. [Member]        
Debt instrument interest rate percentage 8.00%      
Debt maturity date Mar. 03, 2022      
Debt principal amount $ 800,000      
Number of warrant to purchase shares of common stock 160,000      
Warrant exercise price per share $ 5.00      
Warrant expiration date Mar. 03, 2024      
Term Sheet [Member] | AMRE Asset Management Inc. [Member]        
Number of ordinary shares subscribed 5,250      
Common stock, par value $ 0.01      
Value of ordinary shares subscribed $ 53      
Equity ownership percentage 52.50%      
Term Sheet [Member] | AMRE Asset Management Inc. [Member] | LiquidValue Asset Management Pte Ltd [Member]        
Number of common stock shares issues 2,500      
Term Sheet [Member] | AMRE Asset Management Inc. [Member] | AMRE Tennessee, LLC [Member]        
Number of common stock shares issues 1,250