Registration of securities issued in business combination transactions

Note 23 - Reportable Segments (Tables)

v3.24.1.1.u2
Note 23 - Reportable Segments (Tables)
3 Months Ended 12 Months Ended
Mar. 31, 2024
Dec. 31, 2023
Notes Tables    
Reconciliation of Operating Profit (Loss) from Segments to Consolidated [Table Text Block]

For the Three Months Ended March 31, 2024

 

e-Commerce Operations

   

Healthcare Operations

   

Eliminations

   

Total

 

Pharmacy prescription and other revenue, net of PBM fees

  $     $ 11,324     $     $ 11,324  

e-Commerce revenue

    2,865                   2,865  

Pharmacy 340B contract revenue

          3,304             3,304  

Revenues, net

  $ 2,865     $ 14,628     $     $ 17,493  
                                 

Expenses:

                               

Cost of revenue

    2,060       10,623             12,683  

Selling, general and administrative

    1,166       899       (60 )     2,005  

Salaries, wages and payroll taxes

    508       2,116             2,624  

Impairment loss

          132             132  

Professional fees

    507       478             985  

Depreciation and amortization

    130       776             906  
      4,371       15,024       (60 )     19,335  

Loss before other (income) expense

    (1,506 )     (396 )     60       (1,842 )

Other (expense) income

    (203 )     (25 )     (60 )     (168 )

Loss before income taxes

    (1,303 )     (371 )           (1,674 )

Income taxes

    (27 )                 (27 )

Net loss

  $ (1,330 )   $ (371 )   $     $ (1,701 )

For the Three Months Ended March 31, 2023

 

e-Commerce Operations

   

Healthcare Operations

   

Eliminations

   

Total

 

Pharmacy prescription and other revenue, net of PBM fees

  $     $     $     $  

e-Commerce revenue

    2,876                   2,876  

Pharmacy 340B contract revenue

                       

Revenues, net

  $ 2,876     $     $     $ 2,876  
                                 

Expenses:

                               

Cost of revenue

    2,255                   2,255  

Selling, general and administrative

    788                   788  

Salaries, wages and payroll taxes

    588                   588  

Professional fees

    321                   321  

Depreciation and amortization

    162                   162  
      4,114                   4,114  

Loss before other (income) expense

    (1,238 )                 (1,238 )

Other (expense) income

    (83 )                 (83 )

Loss before income taxes

    (1,155 )                 (1,155 )

Income taxes

                       

Loss before equity method investment

    (1,155 )                 (1,155 )

Equity in net loss of affiliate

    (32 )                 (32 )

Net loss

  $ (1,187 )   $     $     $ (1,187 )

For the Twelve Months Ended December 31, 2023

 

e-Commerce Operations

   

Healthcare Operations

   

Eliminations

   

Total

 

Pharmacy prescription and other revenue, net of PBM fees

  $     $ 21,412     $     $ 21,412  

e-Commerce revenue

    10,977                   10,977  

Pharmacy 340B contract revenue

          5,367             5,367  

Revenues, net

  $ 10,977     $ 26,779     $     $ 37,756  
                                 

Expenses:

                               

Cost of revenue

    8,122       18,323             26,445  

Selling, general and administrative

    6,633       3,277             9,910  

Salaries, wages and payroll taxes

    2,670       3,973             6,643  

Goodwill impairment

          13,895             13,895  

Professional fees

    1,595       506       (120 )     1,981  

Depreciation and amortization

    647       1,463             2,110  

Total expenses

    19,667       41,437       (120 )     60,984  

Loss before other (income) expense

  $ (8,690 )   $ (14,658 )   $ 120     $ (23,228 )
                                 

For the Twelve Months Ended December 31, 2022

 

e-Commerce Operations

   

Healthcare Operations

   

Eliminations

   

Total

 

Pharmacy prescription and other revenue, net of PBM fees

  $     $     $     $  

e-Commerce revenue

    11,710                   11,710  

Pharmacy 340B contract revenue

                       

Revenues, net

  $ 11,710     $     $     $ 11,710  
                                 

Expenses:

                               

Cost of revenue

    9,221                   9,221  

Selling, general and administrative

    5,085                   5,085  

Salaries, wages and payroll taxes

    2,565                   2,565  

Professional fees

    1,552                   1,552  

Depreciation and amortization

    490                   490  

Total expenses

    18,913                   18,913  

Loss before other (income) expense

  $ (7,203 )   $     $     $ (7,203 )
Reconciliation of Assets from Segment to Consolidated [Table Text Block]
   

e-Commerce Operations

   

Healthcare Operations

   

Eliminations

   

Total

 

Total assets as of March 31, 2024

  $ 40,342     $ 41,398     $ (16,679 )   $ 65,061  
                         

Total assets as of December 31, 2023

  $ 40,764     $ 40,384     $ (16,679 )   $ 64,469  
   

e-Commerce Operations

   

Healthcare Operations

   

Eliminations

   

Total

 

Total assets as of December 31, 2023

  $ 40,764     $ 40,384     $ (16,679 )   $ 64,469  
                         

Total assets as of December 31, 2022

  $ 28,644     $     $     $ 28,644