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Warrants (Tables)
6 Months Ended
Jun. 30, 2024
Warrants [Abstract]  
Schedule of Warrants Issued Warrants issued in the 2020 Financing
    Investor Warrants     Placement Agent Warrants  
Appraisal Date   December 31,
2023
    December 31,
2023
 
Market price per share (USD/share)   $ n/a     $ 1.05  
Exercise price (USD/price)     n/a       6.475  
Risk free rate     n/a       5.3 %
Dividend yield     n/a       0.0 %
Expected term/ Contractual life (years)     n/a       0.4 years  
Expected volatility     n/a       53.9 %
    Investor Warrants     Placement Agent Warrants  
Appraisal Date   June 30,
2024
    June 30,
2024
 
Market price per share (USD/share)   $ n/a     $ n/a  
Exercise price (USD/price)     n/a       n/a  
Risk free rate     n/a       n/a  
Dividend yield     n/a       n/a  
Expected term/ Contractual life (years)     n/a       n/a  
Expected volatility     n/a       n/a  

  

Warrants issued in the 2021 Financing
    Investor
Warrants
Series A1
    Placement
Agent
Warrants
 
Appraisal Date   December 31,
2023
    December 31,
2023
 
Market price per share (USD/share)     1.05       1.05  
Exercise price (USD/price)     7.67       9.204  
Risk free rate     5.1 %     5.1 %
Dividend yield     0.0 %     0.0 %
Expected term/ Contractual life (years)     0.6 year       0.6 year  
Expected volatility     63.0 %     60.3 %
   Investor
Warrants
Series A1
   Placement
Agent
Warrants
 
Appraisal Date  June 30,
2024
   June 30,
2024
 
Market price per share (USD/share)   1.37    1.37 
Exercise price (USD/price)   7.67    9.204 
Risk free rate   5.3%   5.3%
Dividend yield   0.0%   0.0%
Expected term/ Contractual life (years)   0.1 years    0.1 years 
Expected volatility   118.6%   118.6%
Schedule of the Warrants Liability Measured at Fair Value on a Recurring Basis The following is a reconciliation of the beginning and ending balances of warrants liability measured at fair value on a recurring basis using Level 3 inputs:
   December 31,
2023
   June 30,
2024
 
Balance at the beginning of the year/ period  $136,000   $
      -
 
Warrants issued to institution investors   
-
    
-
 
Warrants issued to placement agent   
-
    
-
 
Warrants redeemed   
-
    
-
 
Fair value change of the issued warrants included in earnings   (136,000)   
-
 
Balance at end of year/ period   
-
    
-
 
Schedule of Warrant Activity The following is a summary of the warrant activity:
   Number of
Warrants
   Average
Exercise Price
   Weighted Average
Remaining
Contractual
Term in Years
 
             
Outstanding at January 1, 2024   5,296,579   $7.71    0.60 
Exercisable at January 1, 2024   5,296,579   $7.71    0.60 
Granted   
-
    
-
    - 
Exercised / surrendered   
-
    
-
    - 
Expired   (379,592)   6.475    - 
Outstanding at June 30, 2024   4,916,987   $7.809    0.11 
Exercisable at June 30, 2024   4,916,987   $7.809    0.11