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INTERIM CONDENSED CONSOLIDATED STATEMENT OF CHANGES IN STOCKHOLDERS' EQUITY (Unaudited) - USD ($)
Common Stock
Additional Paid-In Capital
Accumulated Deficit
Total
Beginning balance, value at Sep. 30, 2019 $ 52,652 $ 153,633,807 $ (133,396,760) $ 20,289,699
Balance beginning, shares at Sep. 30, 2019 52,650,521      
Shares issued under 2019 purchase agreement Purchase shares $ 5,965 15,359,527 15,365,492
Shares issued under 2019 purchase agreement Purchase shares, shares 5,964,584      
Shares issued under 2019 purchase agreement Commitment shares $ 49 (49)
Shares issued under 2019 purchase agreement Commitment shares, shares 49,841      
Share based compensation 2,965,177 2,965,177
Net loss (13,828,622) (13,828,622)
Ending balance, value at Mar. 31, 2020 $ 58,666 171,958,462 (147,225,382) 24,791,746
Balance ending, shares at Mar. 31, 2020 58,664,946      
Beginning balance, value at Dec. 31, 2019 $ 57,082 165,891,753 (139,988,685) 25,960,150
Balance beginning, shares at Dec. 31, 2019 57,080,356      
Shares issued under 2019 purchase agreement Purchase shares $ 1,571 4,365,969 4,367,540
Shares issued under 2019 purchase agreement Purchase shares, shares 1,570,424      
Shares issued under 2019 purchase agreement Commitment shares $ 13 (13)
Shares issued under 2019 purchase agreement Commitment shares, shares 14,166      
Share based compensation 1,700,753 1,700,753
Net loss (7,236,697) (7,236,697)
Ending balance, value at Mar. 31, 2020 $ 58,666 171,958,462 (147,225,382) 24,791,746
Balance ending, shares at Mar. 31, 2020 58,664,946      
Beginning balance, value at Sep. 30, 2020 $ 62,047 186,851,752 (159,677,230) 27,236,569
Balance beginning, shares at Sep. 30, 2020 62,045,198      
Shares issued under 2019 purchase agreement Purchase shares $ 4,008 24,107,190 24,111,198
Shares issued under 2019 purchase agreement Purchase shares, shares 4,007,996      
Shares issued under 2019 purchase agreement Commitment shares $ 78 (78)
Shares issued under 2019 purchase agreement Commitment shares, shares 78,213      
Shares issued upon exercise of options $ 347 998,455 998,802
Shares issued upon exercise of options, shares 346,900      
Shares issued under Sales Agreement, net of shares issue costs $ 3,552 36,684,992 36,688,544
Shares issued under Sales Agreement, net of shares issue costs, shares 3,552,313      
Share based compensation 2,785,470 2,785,470
Net loss (16,010,287) (16,010,287)
Ending balance, value at Mar. 31, 2021 $ 70,032 251,427,781 (175,687,517) 75,810,296
Balance ending, shares at Mar. 31, 2021 70,030,620      
Beginning balance, value at Dec. 31, 2020 $ 66,964 213,766,108 (167,532,295) 46,300,777
Balance beginning, shares at Dec. 31, 2020 66,962,957      
Shares issued under 2019 purchase agreement Purchase shares $ 662 6,649,134 6,649,796
Shares issued under 2019 purchase agreement Purchase shares, shares 661,708      
Shares issued under 2019 purchase agreement Commitment shares $ 22 (22)
Shares issued under 2019 purchase agreement Commitment shares, shares 21,571      
Shares issued upon exercise of options $ 347 998,455 998,802
Shares issued upon exercise of options, shares 346,900      
Shares issued under Sales Agreement, net of shares issue costs $ 2,037 28,167,950 28,169,987
Shares issued under Sales Agreement, net of shares issue costs, shares 2,037,484      
Share based compensation 1,846,156 1,846,156
Net loss (8,155,222) (8,155,222)
Ending balance, value at Mar. 31, 2021 $ 70,032 $ 251,427,781 $ (175,687,517) $ 75,810,296
Balance ending, shares at Mar. 31, 2021 70,030,620