Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Statements of Comprehensive Loss (Unaudited)

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Condensed Consolidated Statements of Comprehensive Loss (Unaudited) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2024
Jun. 30, 2023
Income Statement [Abstract]        
Product Revenue
Product Cost of Sales
Gross Income
Administrative Expenses 1,020,312 1,879,917 2,088,632 2,867,904
Research and Development Expenses 401,104 2,224,444 1,600,042 2,994,874
Stock Based Compensation Expenses 439,627 1,677,271 956,992 1,746,339
Series F Warrant Issuance Expenses 762,834
Series F-1 Warrant Issuance Expenses 539,097 539,097
Series G Warrant Issuance Expenses 969,505 969,505
Loss from Operations (3,369,645) (5,781,632) (6,154,268) (8,371,951)
Other (Income)/Expenses        
Interest and Dividend Income (21,148) (174,851) (39,454) (200,675)
(Gain)/Loss on Sale of Marketable Securities 75 389 (100) 214
Change in fair value of Marketable Securities 76 983 975 2,695
Change in fair value of Derivatives Liabilities 72,000 1,490,200 11,000 315,200
Change in fair value of Warrant Liabilities (2,701,000) (2,930,700) 4,393,000 (2,810,000)
Loss on issuance of Series F-1 Convertible Preferred Stock 3,737,000 3,737,000
Loss on issuance of Series G Convertible Preferred Stock 5,109,000 5,109,000
Total Other (Income)/Expense 6,196,003 (1,613,979) 13,211,421 (2,692,566)
Loss Before Income Tax (9,565,648) (4,167,653) (19,365,689) (5,679,385)
Income Tax Benefit
Net Loss (9,565,648) (4,167,653) (19,365,689) (5,679,385)
Preferred Stock Dividends 777,340 373,796 1,979,207 532,129
Net Loss Attributable to Common Stockholders $ (10,342,988) $ (4,541,449) $ (21,344,896) $ (6,211,514)
Net loss per common share - basic $ (4.54) $ (3.22) $ (9.58) $ (4.43)
Net loss per common share - diluted $ (4.54) $ (3.22) $ (9.58) $ (4.43)
Weighted average common shares outstanding - basic 2,275,699 1,411,029 2,228,218 1,401,672
Weighted average common shares outstanding - diluted 2,275,699 1,411,029 2,228,218 1,401,672