XML 52 R40.htm IDEA: XBRL DOCUMENT v3.22.2
Business Combinations (Tables)
9 Months Ended
Mar. 31, 2022
Business Combinations [Abstract]  
Schedule of purchase price allocations at fair value
Cash  $708,737 
Accounts receivable   6,422,850 
Advances to suppliers   1,803,180 
Prepaid expenses and other current assets   807,645 
Inventories   7,787,043 
Machinery and equipment   140,868 
Intangible assets   270,900 
Other assets   3,404,741 
Goodwill   3,158,179 
Accounts payable   (3,962,670)
Customer deposits   (3,486,150)
Accrued expenses and other payables   (4,653,324)
Taxes payable   (16,912)
Purchase price  $12,385,087 

 

Working Capital  $941,192 
Machinery and equipment   222,875 
Intangible assets   1440 
Goodwill   684,400 
Customer Relationship   522,028 
Non-compete Agreement   392,852 
Purchase price  $2,764,787 

  

Working Capital  $1,179,352 
Intangible assets   896,559 
Customer Relationship   684,727 
Non-compete Agreement   211,833 
Goodwill   538,488 
Total Asset  $2,614,401 

 

Working Capital  $(1,135,366)
Intangible Assets   28,050 
Long-term equity investment   139,320 
Goodwill   1,257,784 
Total Asset   288,898 

 

Working Capital  $2,930,551 
Intangible assets   23,890 
Goodwill   316,200 
Total Asset  $3,270,641 

 

Working Capital  $358,715 
Intangible assets   128,677 
      
Total Asset  $487,392 

  

Working Capital  $805,005 
Fixed Assets   91,033 
Intangible Assets   86,456 
      
Total Asset   982,494 

 

Working Capital  $(621,154)
Intangible assets  $103,532 
      
Total Asset  $(517,622)

  

Working Capital  $833,252 
Fixed Assets   34,394 
Intangible Assets   170,514 
      
Total Asset   1,038,160 

 

Schedule of purchase consideration paid
Cash  $5,568,500 
Convertible notes   6,671,769 
Derivative liability   144,818 
   $12,385,087 

 

Cash  $1,201,888 
Convertible notes   1,559,350 
Derivative liability   3,549 
   $2,764,787 

 

Cash  $461,330 
Interest Payable   83,039 
Convertible notes   1,724,683 
Derivative liability   13,353 
Total Payback  $2,282,406 
Net Loss  $(331,995)

 

Cash  $286,380 
Total Payback  $288,898 
Net Gain (Loss)   (2,518)

 

Cash  $3,781,764 
Total Payback  $3,270,641 
Net Gain (Loss)   511,123 

 

Cash  $550,550 
Total Payback  $487,392 
Net Gain (Loss)   63,158 

 

Cash  $1,376,375 
Total Payback  $982,494 
Net Gain (Loss)   393,881 

 

Cash  $503,360 
Total Payback  $(517,622)
Net Gain (Loss)  $1,020,982 

 

Cash  $1,337,050 
Total Payback  $1,038,160 
Net Gain (Loss)   298,890