v3.22.2.2
Equity incentive plan (Tables)
9 Months Ended 12 Months Ended
Sep. 30, 2022
Dec. 31, 2021
Equity Incentive Plan    
Schedule Of Fair Value Of Incentive Grants  
               
   

As of

December 31,

 
    2021     2020  
Expected dividend yield     0.00 %     0.00 %
Risk-free interest rate     1.40 %     2.20 %
Expected life in years     3.00       3.00  
Expected volatility     48.20 %     28.70 %
Schedule Of Incentive Unit Activity
     
   Units 
Outstanding - January 1, 2022   3,084,650 
Granted   - 
Forfeited   (14,499)
Outstanding – August 15, 2022   3,070,151 
      
Vested – August 15, 2022   3,070,151 
     
    Units  
Outstanding - January 1, 2020   2,848,050  
Granted   176,117  
Forfeited/redeemed   (6,976 )
Outstanding - December 31, 2020   3,017,191  
Granted   214,642  
Forfeited/redeemed   (147,183 )
Outstanding - December 31, 2021   3,084,650  
       
Vested - December 31, 2021   2,886,439  
Schedule Of Non vested Incentive Units
          
   Units   Weighted Average
Grant Date Fair Value
 
Nonvested - January 1, 2022   198,210   $10.25 
Granted   -    - 
Vested   (183,711)   10.25 
Forfeited   (14,499)   - 
Nonvested – August 15, 2022   -   $- 
               
    Units     Weighted Average Grant Date Fair Value  
Nonvested - January 1, 2020     244,964     3.49  
Granted     176,117     4.08  
Vested     (138,659 )     3.37  
Forfeited/redeemed     (6,976 )     4.08  
Nonvested - December 31, 2020     275,446     3.91  
Granted     214,642     13.40  
Vested     (144,695 )     3.75  
Forfeited/redeemed     (147,183 )     9.36  
Nonvested - December 31, 2021     198,210   $ 10.25