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2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES - Fair Value of Financial Instruments (Details) - USD ($)
Sep. 30, 2022
Sep. 30, 2021
Net Investment Income [Line Items]    
Derivative Asset $ 2,955,890 $ 4,905,660
Investment in equity security 0 260,772
Amount [Member]    
Net Investment Income [Line Items]    
Derivative Asset 2,955,890 4,905,660
Investment in equity security   10,772
Investment in debt security 610,108 494,608
Contingent cash consideration   820,802
Financial Instruments, Owned, Principal Investments, at Fair Value 3,565,998 6,231,842
Level 1    
Net Investment Income [Line Items]    
Derivative Asset 0 0
Investment in equity security   10,772
Investment in debt security 0 0
Contingent cash consideration   0
Financial Instruments, Owned, Principal Investments, at Fair Value 0 10,772
Level 2    
Net Investment Income [Line Items]    
Derivative Asset 0 0
Investment in equity security   0
Investment in debt security 0 0
Contingent cash consideration   0
Financial Instruments, Owned, Principal Investments, at Fair Value 0 0
Level 3    
Net Investment Income [Line Items]    
Derivative Asset 2,955,890 4,905,660
Investment in equity security   0
Investment in debt security 610,108 494,608
Contingent cash consideration   820,802
Financial Instruments, Owned, Principal Investments, at Fair Value $ 3,565,998 $ 6,221,070