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SCHEDULE OF EARN-OUT LIABILITY (Details) - USD ($)
6 Months Ended 12 Months Ended
Jun. 30, 2022
Dec. 31, 2021
Restructuring Cost and Reserve [Line Items]    
Beginning balance – January 1 $ 3,813,878 $ 2,931,418
Changes due to acquisitions 600,000  
Changes due to payments (411,408) (452,236)
Changes due to fair value adjustments 354,963 (278,102)
Ending balance 4,357,433 3,813,878
Changes due to business combinations   1,694,166
Changes due to write-offs   (81,368)
Commercial Solutions Of Insurance Agency LLC [Member]    
Restructuring Cost and Reserve [Line Items]    
Beginning balance – January 1 81,368
Changes due to acquisitions  
Changes due to payments  
Changes due to fair value adjustments
Ending balance
Changes due to business combinations  
Changes due to write-offs   (81,368)
Fortman Insurance Agency LLC [Member]    
Restructuring Cost and Reserve [Line Items]    
Beginning balance – January 1 515,308 432,655
Changes due to acquisitions  
Changes due to payments  
Changes due to fair value adjustments 32,620 82,653
Ending balance 547,928 515,308
Changes due to business combinations  
Changes due to write-offs  
Southwestern Montana Insurance Center Inc [Member]    
Restructuring Cost and Reserve [Line Items]    
Beginning balance – January 1 615,969 522,553
Changes due to acquisitions  
Changes due to payments (326,935)
Changes due to fair value adjustments 37,741 93,416
Ending balance 326,775 615,969
Changes due to business combinations  
Changes due to write-offs  
Altruis Benefits Consultants Inc [Member]    
Restructuring Cost and Reserve [Line Items]    
Beginning balance – January 1 992,868 1,894,842
Changes due to acquisitions  
Changes due to payments (84,473) (452,236)
Changes due to fair value adjustments (449,738)
Ending balance 908,395 992,868
Changes due to business combinations  
Changes due to write-offs  
JP Kush and Associates Inc [Member]    
Restructuring Cost and Reserve [Line Items]    
Beginning balance – January 1 1,689,733
Changes due to acquisitions  
Changes due to payments  
Changes due to fair value adjustments 334,602 (4,433)
Ending balance 2,024,335 1,689,733
Changes due to business combinations   1,694,166
Changes due to write-offs  
Barra [Member]    
Restructuring Cost and Reserve [Line Items]    
Beginning balance – January 1  
Changes due to acquisitions 600,000  
Changes due to fair value adjustments (50,000)  
Ending balance $ 550,000