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Commitments and Contingencies (Tables)
3 Months Ended
Dec. 31, 2024
Commitments and Contingencies [Abstract]  
Schedule of Supplemental Cash Flow Information Related to the Operating Lease

Supplemental cash flow information related to the operating leases was as follows:

 

   For the three months ended
December 31,
 
   2024   2023 
Cash paid for amounts included in the measurement of lease liability:        
Operating cash flows from operating leases  $35,122   $34,070 
Right-of -use assets obtained in exchange for lease obligations:          
Modification of right-of-use asset and associated lease liability  $111,898   $
 
Schedule of Supplemental Balance Sheet Information Related to the Operating Lease

Supplemental balance sheet information related to the operating leases was as follows:

 

   As of
December 31,
2024
   As of
September 30,
2024
 
         
Right-of-use assets  $339,271   $254,910 
           
Lease liabilities  $341,514   $260,160 
           
Weighted average remaining lease term (years)   3.0    3.6 
Weighted average discount rate   7.2%   7.4%
Schedule of Maturity of the Lease Liabilities

Maturity of the lease liabilities was as follows:

 

Calendar Year  As of
December 31,
2024
 
2025  $125,359 
2026   139,985 
2027   81,708 
2028   34,815 
Total lease payments   381,867. 
Less imputed interest   (40,353)
Total   341,514 
Short-term portion (included in other liabilities)   (104,137)
Long-term portion  $237,377