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INTERIM CONDENSED CONSOLIDATED STATEMENT OF CHANGES IN STOCKHOLDERS' EQUITY (Unaudited) - USD ($)
Common Stock [Member]
Additional Paid-in Capital [Member]
Common Shares To Be Issued [Member]
Retained Earnings [Member]
Total
Beginning balance, value at Sep. 30, 2018 $ 45,935 $ 129,377,542 $ (107,101,781) $ 22,321,696
Balance Beginning (in shares) at Sep. 30, 2018 45,933,472        
  Commitment shares $ 27 (27)
Shares issued under 2015 Purchase Agreement - Commitment shares (in shares) 23,701        
  Purchase shares $ 4,849 13,192,755 13,197,604
Shares issued under 2015 Purchase Agreement - Purchase shares (in shares) 4,848,995        
  Purchase shares $ 375 1,163,400 1,163,775
Shares issued under 2019 Purchase Agreement - Purchase shares (in shares) 375,000        
  Commitment shares $ 324 (324)
Shares issued under 2019 Purchase Agreement - Commitment shares (in shares) 328,157        
Shares issued pursuant to cashless exercise of warrants $ 1 (1)
Shares issued pursuant to cashless exercise of warrants (in shares) 546        
Share based compensation 5,194,343 5,194,343
Net loss (20,688,561) (20,688,561)
Ending balance, value at Jun. 30, 2019 $ 51,511 148,927,688 (127,790,342) 21,188,857
Balance Ending (in shares) at Jun. 30, 2019 51,509,871        
Beginning balance, value at Mar. 31, 2019 $ 48,175 138,696,975 (292,700) (121,268,416) 17,184,034
Balance Beginning (in shares) at Mar. 31, 2019 48,173,241        
  Commitment shares $ 14 (14)
Shares issued under 2015 Purchase Agreement - Commitment shares (in shares) 14,070        
  Purchase shares $ 2,619 7,833,451 292,700 8,128,770
Shares issued under 2015 Purchase Agreement - Purchase shares (in shares) 2,619,403        
  Purchase shares $ 375 1,163,400 1,163,775
Shares issued under 2019 Purchase Agreement - Purchase shares (in shares) 375,000        
  Commitment shares $ 328 (328)
Shares issued under 2019 Purchase Agreement - Commitment shares (in shares) 328,157        
Share based compensation 1,234,204 1,234,204
Net loss (6,521,926) (6,521,926)
Ending balance, value at Jun. 30, 2019 $ 51,511 148,927,688 (127,790,342) 21,188,857
Balance Ending (in shares) at Jun. 30, 2019 51,509,871        
Beginning balance, value at Sep. 30, 2019 $ 52,652 153,633,807 (133,396,760) 20,289,699
Balance Beginning (in shares) at Sep. 30, 2019 52,650,521        
  Purchase shares $ 7,365 20,482,932 20,490,297
Shares issued under 2019 Purchase Agreement - Purchase shares (in shares) 7,364,584        
  Commitment shares $ 65 (65)
Shares issued under 2019 Purchase Agreement - Commitment shares (in shares) 66,465        
Shares issued pursuant to cashless exercise of options $ 1 (1)  
Shares issued pursuant to cashless exercise of options (in shares) 721        
Share based compensation 4,216,306 4,216,306
Net loss (20,315,244) (20,315,244)
Ending balance, value at Jun. 30, 2020 $ 60,083 178,332,979 (153,712,004) 24,681,058
Balance Ending (in shares) at Jun. 30, 2020 60,082,291        
Beginning balance, value at Mar. 31, 2020 $ 58,666 171,958,462 (147,225,382) 24,791,746
Balance Beginning (in shares) at Mar. 31, 2020 58,664,946        
  Purchase shares $ 1,400 5,123,405 5,124,805
Shares issued under 2019 Purchase Agreement - Purchase shares (in shares) 1,400,000        
  Commitment shares $ 16 (16)
Shares issued under 2019 Purchase Agreement - Commitment shares (in shares) 16,624        
Shares issued pursuant to cashless exercise of options $ 1 (1)
Shares issued pursuant to cashless exercise of options (in shares) 721        
Share based compensation 1,251,129 1,251,129
Net loss (6,486,622) (6,486,622)
Ending balance, value at Jun. 30, 2020 $ 60,083 $ 178,332,979 $ (153,712,004) $ 24,681,058
Balance Ending (in shares) at Jun. 30, 2020 60,082,291