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Stock Compensation (Tables)
6 Months Ended
Jun. 30, 2025
Share-Based Payment Arrangement [Abstract]  
Schedule of Stock Option Activity

The summary of activity under the plans as of June 30, 2025, and change during the six months ended June 30, 2025, is as follows:

 

           Weighted     
       Weighted   average     
       average   remaining   Aggregate 
       exercise   contractual   intrinsic 
Options  Shares   price   term   value 
Outstanding as of December 31, 2024   9,022   $91.06    7.6   $      - 
Granted   -    -           
Exercised   -    -           
Forfeited   -    -           
Expired   -    -           
Outstanding as of June 30, 2025   9,022   $91.06    7.1   $- 
Exercisable as of June 30, 2025   7,214   $95.85    7.1   $- 

 

The summary of activity under the plans as of June 30, 2024, and change during the six months ended June 30, 2024, is as follows:

 

           Weighted     
       Weighted   average     
       average   remaining   Aggregate 
       exercise   contractual   intrinsic 
Options  Shares   price   term   value 
Outstanding as of December 31, 2023   34,568   $105.48    7.7   $3,750 
Granted   -                
Exercised   -                
Forfeited   (8,564)  $68.40           
Expired   (13,998)  $105.60           
Outstanding as of June 30, 2024   12,006   $131.64    7.9   $1,500 
Exercisable as of June 30, 2024   7,429   $163.44    7.7   $1,500 
Schedule of Restricted Stock Units

 

           Weighted     
       Weighted   Average     
       Average Grant   Remaining   Aggregate 
       Date Fair   Contractual   Intrinsic 
   Shares   Value   Term   Value 
Outstanding as of December 31, 2024   12,501   $8.9    -    - 
Granted   29,168    -    -    - 
Cancelled   -    -    -    - 
Vested and released   (37,502)   1.98    -    325,517 
Outstanding and unvested as of June 30, 2025   4,167   $8.89    10.94   $- 

 

The total unrecognized compensation cost related to unvested RSUs as of June 30, 2025 was $36,646.

 

The following is a summary of RSU activity for the six months ended June 30, 2024:

 

           Weighted     
       Weighted   Average     
       Average Grant   Remaining   Aggregate 
       Date Fair   Contractual   Intrinsic 
   Shares   Value   Term   Value 
Outstanding as of December 31, 2023   -   $-    -    - 
Granted   24,999    16.77    -    - 
Cancelled   -    -    -    - 
Vested and released   (12,501)   16.77    -    3,200 
Outstanding and unvested as of June 30, 2024   12,498   $16.77    3.78   $-