Quarterly report pursuant to Section 13 or 15(d)

CONDENSED CONSOLIDATED STATEMENT OF STOCKHOLDERS' EQUITY

v3.22.2.2
CONDENSED CONSOLIDATED STATEMENT OF STOCKHOLDERS' EQUITY - USD ($)
Preferred Stock
Series C Preferred Stock
Preferred Stock
Series E Preferred Stock
Public Offering
Preferred Stock
Series E Preferred Stock
Preferred Stock
Common Stock
Series C Preferred Stock
Common Stock
Series E Preferred Stock
Common Stock
Public Offering
Common Stock
Private Placement
Common Stock
Registered direct offering
Common Stock
Additional Paid-In Capital
Series C Preferred Stock
Additional Paid-In Capital
Series E Preferred Stock
Public Offering
Additional Paid-In Capital
Series E Preferred Stock
Additional Paid-In Capital
Public Offering
Additional Paid-In Capital
Private Placement
Additional Paid-In Capital
Registered direct offering
Additional Paid-In Capital
Accumulated Other Comprehensive Loss
Accumulated Deficit
Series E Preferred Stock
Public Offering
Public Offering
Private Placement
Registered direct offering
Total
Balance at Dec. 31, 2020       $ 41           $ 1,389             $ 116,837,777 $ (802) $ (107,108,664)         $ 9,729,741
Balance (in shares) at Dec. 31, 2020       4,138           138,910                            
Stock-Based Compensation                                 629,306             629,306
Issuance of Common Stock in Offerings, Net of Offering Costs                   $ 1,167             9,755,181             9,756,348
Issuance of Common Stock in Offerings, Net of Offering Costs (in shares)                   116,721                            
Conversion of Preferred Stock into Common Stock $ (41)       $ 213           $ (172)                          
Conversion of Preferred Stock into Common Stock (in shares) (4,092)       21,313                                      
Conversion of Stock into Common Stock(in shares) 4,092       (21,313)                                      
Issuance of Common Stock from Warrants, Net                   $ 2             49,999             50,001
Issuance of Common Stock from Warrants, Net (in shares)                   260                            
Issuance of Common Stock from Private Placement               $ 383             $ 7,988,478             $ 7,988,861    
Issuance of Common Stock from Private Placement (in shares)               38,278                                
Foreign Currency Translation Adjustment                                   (59,068)           (59,068)
Net Loss                                     (7,588,463)         (7,588,463)
Balance at Sep. 30, 2021                   $ 3,154             135,260,569 (59,870) (114,697,127)         20,506,726
Balance (in shares) at Sep. 30, 2021       46           315,482                            
Balance at Jun. 30, 2021       $ 41           $ 1,774             125,356,091 (15,136) (111,662,297)         13,680,473
Balance (in shares) at Jun. 30, 2021       4,138           177,448                            
Stock-Based Compensation                                 149,469             149,469
Issuance of Common Stock in Offerings, Net of Offering Costs                 $ 1,167             $ 9,755,181             $ 9,756,348  
Issuance of Common Stock in Offerings, Net of Offering Costs (in shares)                 116,721                              
Conversion of Preferred Stock into Common Stock $ (41)       $ 213           $ (172)                          
Conversion of Preferred Stock into Common Stock (in shares) (4,092)       21,313                                      
Conversion of Stock into Common Stock(in shares) 4,092       (21,313)                                      
Foreign Currency Translation Adjustment                                   (44,734)           (44,734)
Net Loss                                     (3,034,830)         (3,034,830)
Balance at Sep. 30, 2021                   $ 3,154             135,260,569 (59,870) (114,697,127)         20,506,726
Balance (in shares) at Sep. 30, 2021       46           315,482                            
Balance at Dec. 31, 2021                   $ 3,166             135,541,662 (86,431) (120,879,349)         14,579,048
Balance (in shares) at Dec. 31, 2021       7           316,599                            
Stock-Based Compensation                                 417,328             417,328
Issuance of Common Stock from Panoptes Holdback Shares                   $ 100             (100)              
Issuance of Common Stock from Panoptes Holdback Shares (in shares)                   10,087                            
Issuance of Common Stock in Offerings, Net of Offering Costs             $ 5,924             $ 2,456,914             $ 2,462,838      
Issuance of Common Stock in Offerings, Net of Offering Costs (in shares)             592,392                                  
Issuance of Series Preferred Stock from Offering, Net of Offering Costs   $ 13                   $ 665,178               $ 665,191        
Issuance of Series Preferred Stock from Offering, Net of Offering Costs (in shares)   1,280                                            
Conversion of Preferred Stock into Common Stock     $ (13)     $ 1,600             $ (1,587)                      
Conversion of Preferred Stock into Common Stock (in shares)     (1,280)     160,000                                    
Conversion of Stock into Common Stock(in shares)     1,280     (160,000)                                    
Reclassification of Warrant Liability                                 3,674,791             3,674,791
Adjustments Due to the Rounding Impact from the Reverse Stock Split for Fractional Shares                                 (15,629)             (15,629)
Adjustments Due to the Rounding Impact from the Reverse Stock Split for Fractional Shares (in shares)                   (33)                            
Foreign Currency Translation Adjustment                                   (176,967)           (176,967)
Net Loss                                     (11,085,164)         (11,085,164)
Balance at Sep. 30, 2022                   $ 10,790             142,738,557 (263,398) (131,964,513)         10,521,436
Balance (in shares) at Sep. 30, 2022       7           1,079,045                            
Balance at Jun. 30, 2022                   $ 3,266             135,828,737 (224,861) (126,845,174)         8,761,968
Balance (in shares) at Jun. 30, 2022       7           326,686                            
Stock-Based Compensation                                 130,153             130,153
Issuance of Common Stock in Offerings, Net of Offering Costs             $ 5,924             $ 2,456,914             $ 2,462,838      
Issuance of Common Stock in Offerings, Net of Offering Costs (in shares)             592,392                                  
Issuance of Series Preferred Stock from Offering, Net of Offering Costs   $ 13                   $ 665,178               $ 665,191        
Issuance of Series Preferred Stock from Offering, Net of Offering Costs (in shares)   1,280                                            
Conversion of Preferred Stock into Common Stock     $ (13)     $ 1,600             $ (1,587)                      
Conversion of Preferred Stock into Common Stock (in shares)     (1,280)     160,000                                    
Conversion of Stock into Common Stock(in shares)     1,280     (160,000)                                    
Reclassification of Warrant Liability                                 3,674,791             3,674,791
Adjustments Due to the Rounding Impact from the Reverse Stock Split for Fractional Shares                                 (15,629)             (15,629)
Adjustments Due to the Rounding Impact from the Reverse Stock Split for Fractional Shares (in shares)                   (33)                            
Foreign Currency Translation Adjustment                                   (38,537)           (38,537)
Net Loss                                     (5,119,339)         (5,119,339)
Balance at Sep. 30, 2022                   $ 10,790             $ 142,738,557 $ (263,398) $ (131,964,513)         $ 10,521,436
Balance (in shares) at Sep. 30, 2022       7           1,079,045