XML 17 R5.htm IDEA: XBRL DOCUMENT v3.24.3
CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY - USD ($)
$ in Thousands
Total
Preferred Stock [Member]
Common Stock [Member]
Additional Paid-in Capital [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Accumulated Deficit [Member]
Beginning Balance, Value at Sep. 30, 2021 $ 305,716 $ 2 $ 37 $ 444,074 $ (5) $ (138,392)
Beginning Balance, Shares at Sep. 30, 2021   1,750,000 37,395,945      
Options and restricted stock units issued for services , Shares     1,002,683      
Options and restricted stock units issued for services 31,466   $ 1 31,465    
Shares withheld for net settlement of restricted stock units related to tax withholdings shares     (358,681)      
Shares Withheld for Net Settlement of Restricted Stock Units Related to Tax Withholdings, amount (1,638)     (1,638)    
Shares returned for settlement of contingent consideration and holdbacks related to business acquisition, Shares     (232,518)      
Exercise of options, shares     105,423      
Exercise of options, value 817     817    
Shares issued under equity offering, net of offering costs shares     17,740,081      
Shares issued under equity offering, net of offering costs value 125,048   $ 18 125,030    
Preferred stock dividends (336)         (336)
Shares issued for settlement of contingent consideration related to business acquisition, Shares     8,404      
Shares issued for settlement of contingent consideration related to business acquisition 150     150    
Net loss (57,326)         (57,326)
Other comprehensive income 115       115  
Ending Balance, Value at Sep. 30, 2022 404,012 $ 2 $ 56 599,898 110 (196,054)
Ending Balance, Shares at Sep. 30, 2022   1,750,000 55,661,337      
Shares issued for business acquisition, shares     1,590,175      
Shares issued for business acquisition 4,802   $ 1 4,801    
Options and restricted stock units issued for services , Shares     4,483,669      
Options and restricted stock units issued for services 24,142   $ 4 24,138    
Shares withheld for net settlement of restricted stock units related to tax withholdings shares     (1,397,258)      
Shares Withheld for Net Settlement of Restricted Stock Units Related to Tax Withholdings, amount (5,872)   $ (1) (5,871)    
Shares returned for settlement of contingent consideration and holdbacks related to business acquisition, Shares     (83,417)      
Shares issued under equity offering, net of offering costs shares     98,829,525      
Shares issued under equity offering, net of offering costs value 383,776   $ 99 383,677    
Shares issued for settlement of contingent consideration related to business acquisition, Shares     1,100,890      
Shares issued for settlement of contingent consideration related to business acquisition 2,840   $ 1 2,839    
Net loss (138,148)         (138,148)
Other comprehensive income 116       116  
Ending Balance, Value at Sep. 30, 2023 675,668 $ 2 $ 160 1,009,482 226 (334,202)
Ending Balance, Shares at Sep. 30, 2023   1,750,000 160,184,921      
Cumulative effect of change in accounting principle (See Note 2) 4,183         4,183
Options and restricted stock units issued for services , Shares     5,357,166      
Options and restricted stock units issued for services 29,555   $ 6 29,549    
Shares withheld for net settlement of restricted stock units related to tax withholdings shares     (1,763,415)      
Shares Withheld for Net Settlement of Restricted Stock Units Related to Tax Withholdings, amount (22,555)   $ (2) (22,553)    
Exercise of options, shares     149,293      
Exercise of options, value 752     752    
Shares issued under equity offering, net of offering costs shares     106,969,819      
Shares issued under equity offering, net of offering costs value 1,222,243   $ 107 1,222,136    
Preferred stock dividends (3,422)         (3,422)
Preferred stock Series X Issuance, Share   1,000,000        
Preferred stock Series X Issuance 1 $ 1        
Net loss (145,777)         (145,777)
Other comprehensive income 192       192  
Ending Balance, Value at Sep. 30, 2024 $ 1,760,841 $ 3 $ 271 $ 2,239,367 $ 418 $ (479,218)
Ending Balance, Shares at Sep. 30, 2024   2,750,000 270,897,784