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FAIR VALUE MEASUREMENTS (Tables)
6 Months Ended
Jun. 30, 2023
Fair Value Disclosures [Abstract]  
Fair value, assets measured on recurring basis
                         
   Carrying Amount  Fair Value  Level 1  Level 2  Level 3
   As of June 30, 2023
Assets               
Money market funds  $26,981   $26,981   $26,981   $—     $—   
Total assets  $26,981   $26,981   $26,981   $—     $—   
Liabilities                         
Contingent consideration  $18,809,672   $18,809,672   $4,153,999   $—     $14,655,673 
Warrant liability   9,069    9,069    —      —      9,069 
Total liabilities  $18,818,741   $18,818,741   $4,153,999   $—     $14,664,742 
                          
    As of December 31, 2022
Assets                         
Money market funds  $26,828   $26,828   $26,828   $—     $—   
Total assets  $26,828   $26,828   $26,828   $—     $—   
Liabilities                         
Warrant liability   9,987    9,987    —      —      9,987 
Total liabilities  $9,987   $9,987   $—     $—     $9,987