Quarterly report pursuant to Section 13 or 15(d)

Note 20 - Reportable Segments (Tables)

v3.24.2.u1
Note 20 - Reportable Segments (Tables)
6 Months Ended
Jun. 30, 2024
Notes Tables  
Reconciliation of Operating Profit (Loss) from Segments to Consolidated [Table Text Block]

For the Three Months Ended June 30, 2024

 

e-Commerce Operations

   

Healthcare Operations

   

Eliminations

   

Total

 

Pharmacy prescription and other revenue, net of PBM fees

  $ -     $ 10,521     $ -     $ 10,521  

e-Commerce revenue

    3,512       -       -       3,512  

Pharmacy 340B contract revenue

    -       2,956       -       2,956  

Revenues, net

  $ 3,512     $ 13,477     $ -     $ 16,989  
                                 

Expenses:

                               

Cost of revenue

    2,401       8,782       -       11,183  

Selling, general and administrative

    1,382       895       (60 )     2,217  

Salaries, wages and payroll taxes

    619       2,166       -       2,785  

Impairment loss

    -       9,792       -       9,792  

Professional fees

    620       384       -       1,004  

Depreciation and amortization

    146       757       -       903  
      5,168       22,776       (60 )     27,884  

Loss before other (income) expense

    (1,656 )     (9,299 )     60       (10,895 )

Other income

    (210 )     (23 )     (60 )     (173 )

Loss before income taxes

    (1,446 )     (9,276 )     -       (10,722 )

Income taxes

    (20 )     -       -       (20 )

Net loss

  $ (1,466 )   $ (9,276 )   $ -     $ (10,742 )

For the Three Months Ended June 30, 2023

 

e-Commerce Operations

   

Healthcare Operations

   

Eliminations

   

Total

 

Pharmacy prescription and other revenue, net of PBM fees

  $ -     $ -     $ -     $ -  

e-Commerce revenue

    2,957       -       -       2,957  

Pharmacy 340B contract revenue

    -       -       -       -  

Revenues, net

  $ 2,957     $ -     $ -     $ 2,957  
                                 

Expenses:

                               

Cost of revenue

    2,113       -       -       2,113  

Selling, general and administrative

    2,519       -       -       2,519  

Salaries, wages and payroll taxes

    968       -       -       968  

Professional fees

    544       -       -       544  

Depreciation and amortization

    168       -       -       168  
      6,312       -       -       6,312  

Loss before other (income) expense

    (3,355 )     -       -       (3,355 )

Other income

    (473 )     -       -       (473 )

Loss before income taxes

    (2,882 )     -       -       (2,882 )

Income taxes

    (52 )     -       -       (52 )

Loss before equity method investment

    (2,934 )     -       -       (2,934 )

Equity in net loss of affiliate

    (1,407 )     -       -       (1,407 )

Net loss

  $ (4,341 )   $ -     $ -     $ (4,341 )

For the Six Months Ended June 30, 2024

 

e-Commerce Operations

   

Healthcare Operations

   

Eliminations

   

Total

 

Pharmacy prescription and other revenue, net of PBM fees

  $ -     $ 21,773     $ -     $ 21,773  

e-Commerce revenue

    6,377       -       -       6,377  

Pharmacy 340B contract revenue

    -       6,332       -       6,332  

Revenues, net

  $ 6,377     $ 28,105     $ -     $ 34,482  
                                 

Expenses:

                               

Cost of revenue

    4,462       19,405       -       23,867  

Selling, general and administrative

    2,545       1,795       (120 )     4,220  

Salaries, wages and payroll taxes

    1,127       4,282       -       5,409  

Impairment loss

    -       9,924       -       9,924  

Professional fees

    1,127       862       -       1,989  

Depreciation and amortization

    277       1,533       -       1,810  
      9,538       37,801       (120 )     47,219  

Loss before other (income) expense

    (3,161 )     (9,696 )     120       (12,737 )

Other income

    (413 )     (48 )     (120 )     (341 )

Loss before income taxes

    (2,748 )     (9,648 )     -       (12,396 )

Income taxes

    (47 )     -       -       (47 )

Net (loss) income

  $ (2,795 )   $ (9,648 )   $ -     $ (12,443 )

For the Six Months Ended June 30, 2023

 

e-Commerce Operations

   

Healthcare Operations

   

Eliminations

   

Total

 

Pharmacy prescription and other revenue, net of PBM fees

  $ -     $ -     $ -     $ -  

e-Commerce revenue

    5,834       -       -       5,834  

Pharmacy 340B contract revenue

    -       -       -       -  

Revenues, net

  $ 5,834     $ -     $ -     $ 5,834  
                                 

Expenses:

                               

Cost of revenue

    4,369       -       -       4,369  

Selling, general and administrative

    3,308       -       -       3,308  

Salaries, wages and payroll taxes

    1,556       -       -       1,556  

Professional fees

    865       -       -       865  

Depreciation and amortization

    330       -       -       330  
      10,428       -       -       10,428  

Loss before other (income) expense

    (4,594 )     -       -       (4,594 )

Other income

    (558 )     -       -       (558 )

Loss before income taxes

    (4,036 )     -       -       (4,036 )

Income taxes

    (52 )     -       -       (52 )

Loss before equity method investment

    (4,088 )     -       -       (4,088 )

Equity in net loss of affiliate

    (1,440 )     -       -       (1,440 )

Net loss

  $ (5,528 )   $ -     $ -     $ (5,528 )
Reconciliation of Assets from Segment to Consolidated [Table Text Block]
   

e-Commerce Operations

   

Healthcare Operations

   

Eliminations

   

Total

 

Total assets as of June 30, 2024

  $ 39,313     $ 28,827     $ (16,679 )   $ 51,461  
                         

Total assets as of December 31, 2023

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