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Commitments and Contingencies (Details 2) - Equity Option [Member]
12 Months Ended
Sep. 30, 2025
USD ($)
$ / shares
shares
Offsetting Assets [Line Items]  
Number of options, Outstanding beginning balance | shares 15,037,754
Weighted average exercise price, Outstanding beginning balance $ 6.80
Weighted average grant date fair value, Outstanding beginning balance $ 5.12
Aggregate intrinsic value, Outstanding beginning balance | $ $ 15,825,791
Number of options, Granted | shares 1,488,500
Weighted average exercise price, Granted $ 8.58
Weighted average grant date fair value, Granted $ 6.22
Number of options, Expired | shares (100,100)
Weighted average exercise price, Expired $ 16.23
Number of options, Exercised | shares (1,383,988)
Weighted average exercise price, Exercised $ 3.21
Weighted average grant date fair value, Exercised $ 1.31
Aggregate intrinsic value, Exercised | $ $ 9,324,901
Number of options, Forfeited | shares (80,583)
Weighted average exercise price, Forfeited $ 4.56
Weighted average grant date fair value, Forfeited $ 0.55
Number of options, Outstanding ending balance | shares 14,961,583
Weighted average exercise price, Outstanding ending balance $ 7.25
Weighted average grant date fair value, Outstanding ending balance $ 5.46
Aggregate intrinsic value, Outstanding ending balance | $ $ 39,715,608
Number of options, Exercisable | shares 10,418,213
Weighted average exercise price, Exercisable $ 6.22
Weighted average grant date fair value, Exercisable $ 4.83
Aggregate intrinsic value, Exercisable | $ $ 34,762,588