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Summary of Significant Accounting Policies (Tables)
9 Months Ended
Jun. 30, 2021
Accounting Policies [Abstract]  
Schedule of fair value of financial instruments measured on a recurring basis
    As of June 30, 2021  
Description   Total     Level 1     Level 2     Level 3  
Liabilities:                                
Convertible notes   $
    $
    $
    $
 
Total liabilities at fair value   $
    $
    $
    $
 

 

   As of September 30, 2020 
Description  Total   Level 1   Level 2   Level 3 
Liabilities:                
Convertible notes  $1,007,206   $
   $
   $1,007,206 
Total liabilities at fair value  $1,007,206   $
   $
   $1,007,206 

  

Schedule of convertible notes at fair value on a recurring basis using unobservable level 3 inputs
   2021 
Convertible notes    
Balance as of beginning of period – September 30, 2020  $1,007,206 
Change in fair value including accrued interest   (1,974)
Conversion of convertible promissory notes to common stock   (1,005,232)
Balance as of end of period – June 30, 2021  $
 

 

   2020 
Convertible notes    
Balance as of beginning of period – September 30, 2019  $
 
Fair value attributed to convertible promissory notes upon issuance   13,974,358 
Fair value attributed to note extinguishment   2,017,847 
Conversion of convertible promissory notes to common stock   (8,088,951)
Change in fair value including accrued interest   (1,175,685)
Balance as of end of period –June 30, 2020  $6,727,569 

 

Schedule of computation of diluted net loss per share
   2021   2020 
Warrants   7,503,808    3,390,220 
Stock options   1,162,838    479,509 
Restricted stock units   18,176    36,948 
Convertible notes   
    1,465,249