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SCHEDULE OF OTHER ASSETS (Details) - USD ($)
Sep. 30, 2021
Dec. 31, 2020
Dec. 31, 2019
Deferred rent receivable   $ 1,912,048 $ 2,680,886
Prepaid expenses, deposits and other   299,187 601,897
Investment in marketable securities $ 1,600,000 83,000  
Accounts receivable, net   541,885 1,336,122
Right-of-use assets, net   102,144 561,375
Other intangibles, net   142,483 212,932
Notes receivable   316,374 316,374
Deferred offering costs   108,660
Total other assets 4,449,538 3,422,781 $ 5,709,586
Other Assets [Member]      
Deferred rent receivable 1,644,276 1,912,048  
Prepaid expenses, deposits and other 273,585 215,946  
Investment in marketable securities 1,670,693 83,241  
Accounts receivable, net 363,104 541,885  
Right-of-use assets, net 81,637 102,144  
Other intangibles, net 97,483 142,483  
Notes receivable 316,374 316,374  
Deferred offering costs 2,386 108,660  
Total other assets $ 4,449,538 $ 3,422,781