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Consolidated Statements of Operations - USD ($)
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Revenue:    
Revenue $ 24,393,946 $ 38,341,702
Cost of revenue:    
Cost of revenue 21,139,794 36,012,654
Gross profit 3,254,152 2,329,048
Operating expenses:    
Payroll and related expenses 5,538,352 4,186,642
General and administrative expenses 4,464,836 3,788,024
Marketing and business development expense 480,934 288,438
Pre-project expenses 48,794
Total 10,484,122 8,311,898
Operating loss (7,229,970) (5,982,850)
Other income (expense):    
Interest expense (336,239) (1,254)
Interest income 73,821 57,266
Other income (expense) 428,411 62,602
Loss on asset disposal (25,265) (44,081)
Loss from equity affiliates (55)
Total 140,728 74,478
Loss before income taxes (7,089,242) (5,908,372)
Income tax expense
Net loss (7,089,242) (5,908,372)
Add: net profit attributable to noncontrolling interests 1,229,806 4,924,302
Net loss attributable to common stockholders of Safe & Green Holdings Corp. $ (8,319,048) $ (10,832,674)
Net loss per share attributable to Safe & Green Holdings Corp. - basic and diluted:    
Basic $ (0.62) $ (1.16)
Diluted $ (0.62) $ (1.16)
Weighted average shares outstanding:    
Basic 13,332,106 9,339,199
Diluted 13,332,106 9,339,199
Construction services    
Revenue:    
Revenue $ 12,663,896 $ 6,537,941
Cost of revenue:    
Cost of revenue 12,729,895 13,251,470
Engineering services    
Revenue:    
Revenue 88,323 255,749
Cost of revenue:    
Cost of revenue 58,894 154,126
Medical revenue    
Revenue:    
Revenue 11,641,727 31,548,012
Cost of revenue:    
Cost of revenue $ 8,351,005 $ 22,607,058