General form of registration statement for all companies including face-amount certificate companies

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

v3.23.3
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Dec. 31, 2022
Dec. 31, 2021
Cash flows from operating activities        
Net loss $ (9,576) $ (7,185) $ (30,112) $ (2,756)
Adjustments to reconcile net loss to net cash used in operating activities        
Income from equity method investments (38) (9) (39) (225)
Stock-based compensation 56 572 1,029 1,913
Depreciation and amortization 365 518 4,060 1,114
Amortization of debt issuance costs 78 80 161 93
Provision for stock option fair value   (25) (25) 9
Impairment charge     3,540  
Gain on Paycheck Protection Program loan   (1,665) (1,665)  
Accretion expense 341 341 681 556
Tax impact of equity transactions     2  
Change in operating assets and liabilities        
Accounts receivable, net 6,055 6,821 12,667 (10,845)
Prepaid expenses (593) (206) (49) 133
Right of use assets 191 421 280 48
Accounts payable and accrued liabilities 507 1,182 724 (920)
Due from MSAs 337 (705) 1,054 (1,071)
Lease liability (358) (349) (750) (500)
Income taxes (198) (2,661) 191 (846)
Other assets and liabilities (241) (16) 217 (76)
Net cash used in operating activities (3,074) (2,886) (8,034) (13,373)
Cash flows from investing activities        
Purchase of fixed assets   (26) (80)  
Net cash paid for acquisitions (102) (127) (280) (307)
Distributions received from equity method investments 37 50 80 308
Net cash used in investing activities (65) (103) (280) 1
Cash flows from financing activities        
Proceeds from exercise of stock options   4 4 19
Proceeds from share issuance, net 5,383   5,195 5,062
Proceeds from Paycheck Protection Program loan       1,665
Proceeds from debenture       10,360
Repayment of short-term debt       (4,100)
Net cash provided by financing activities 5,383 4 5,199 13,006
Increase (decrease) in cash 2,244 (2,985) (3,115) (366)
Cash at beginning of period 905 4,020 4,020 4,386
Cash at end of period 3,149 1,035 905 4,020
Supplemental cash flow information        
Interest paid $ 977 769 1,451 850
Income taxes paid       16
Supplemental non-cash flow information        
Purchase of equipment with finance leases   $ 79 79 431
Settlement of performance share issuance liability       2,668
Settlement of acquisition share issuance liability       540
Convertible debt exercised for common shares       $ 60
Intangible assets acquired in exchange for common shares issued     $ 390