Quarterly report pursuant to Section 13 or 15(d)

ACQUISITIONS - Summary of Allocation of Purchase Price (Details)

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ACQUISITIONS - Summary of Allocation of Purchase Price (Details) - USD ($)
1 Months Ended 3 Months Ended
Feb. 01, 2021
Jun. 30, 2021
Mar. 31, 2022
Dec. 31, 2021
Jun. 30, 2021
Mar. 31, 2021
Assets Acquired            
Goodwill     $ 16,210,020 $ 16,210,020    
Business Combination, Provisional Information, Initial Accounting Incomplete, Adjustments [Abstract]            
Depreciation expense     3,900,000     $ 2,700,000
Crimson Midstream Holdings, LLC            
Assets Acquired            
Cash and cash equivalents     6,554,921      
Accounts and other receivables     11,394,441      
Inventory     1,681,637      
Prepaid expenses and other assets     6,144,932      
Property and equipment     333,715,139      
Operating right-of-use asset     6,268,077      
Total assets acquired:     365,759,147      
Liabilities Assumed            
Accounts payable and other accrued liabilities     13,540,164      
Operating lease liability     6,268,077      
Unearned revenue     315,000      
Total liabilities assumed:     20,123,241      
Fair Value of Net Assets Acquired:     345,635,906      
Non-controlling interest at fair value     116,205,762      
Business Combination, Provisional Information, Initial Accounting Incomplete, Adjustments [Abstract]            
Working capital adjustment         $ 1,800,000  
Depreciation expense       734,000    
Accrued office lease       $ 250,000    
Total fair value $ 116,200,000          
Cash on hand paid in consideration for the acquisition $ 74,600,000 $ 907,728        
Crimson Midstream Holdings, LLC | Class A-1 Units | Mr. Grier and Certain Affiliated Trusts of Mr. Grier            
Business Combination, Provisional Information, Initial Accounting Incomplete, Adjustments [Abstract]            
Shares issued by acquiree through exchange (in shares) 37,043 37,043        
Internalization            
Assets Acquired            
Cash and cash equivalents     952,487      
Accounts and other receivables     344,633      
Prepaid expenses and other assets     14,184      
Property and equipment     87,101      
Operating right-of-use asset     453,396      
Goodwill     14,491,152      
Total assets acquired:     16,342,953      
Liabilities Assumed            
Accounts payable and other accrued liabilities     1,259,402      
Operating lease liability     453,396      
Total liabilities assumed:     1,712,798      
Fair Value of Net Assets Acquired:     $ 14,630,155