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Statements of Changes in Equity (Deficit) - USD ($)
Common Shares
Treasury Shares
Additional Paid in Capital
Accumulated Deficit
Accumulated Other Comprehensive Loss
Total
Balance at Dec. 31, 2020 $ 145,139 $ 20,649,882 $ (29,759,697) $ (19,381) $ (8,984,057)
Balance (in Shares) at Dec. 31, 2020 6,960,000          
Issuance of common shares in initial public offering, net $ 108,347 9,946,310 10,054,657
Issuance of common shares in initial public offering, net (in Shares) 4,819,277          
Issuance of warrants, net 6,742,638 6,742,638
Issuance of common shares to consultant $ 268 49,732 50,000
Issuance of common shares to consultant (in Shares) 12,048          
Warrant exercises $ 5,540 1,144,010 1,149,550
Warrant exercises (in Shares) 277,000          
Issuance of common shares in equity transactions $ 28,269 26,816 3,493,496 3,548,581
Issuance of common shares in equity transactions (in Shares) 1,313,232          
Issuance of common shares for partial commitment fee $ 569 58,886 59,455
Issuance of common shares for partial commitment fee (in Shares) 26,203          
Capital increase for financing transactions $ 56,313 (56,313)
Capital increase for financing transactions (in Shares) 2,815,629          
Defined pension plan adjustments (132,358) (132,358)
Net loss (11,946,078) (11,946,078)
Balance at Dec. 31, 2021 $ 344,445 (29,497) 42,084,954 (41,705,775) (151,739) 542,388
Balance (in Shares) at Dec. 31, 2021 16,223,389          
Issuance of common shares direct offering, net $ 31,251 29,057 1,851,205 1,911,513
Issuance of common shares direct offering, net (in Shares) 1,562,531          
Issuance of pre-funded warrants, net 5,348,882 5,348,882
Issuance of common shares in At-The-Market (ATM) financing 440 30,553 30,993
Issuance of treasury shares $ 116,184 (116,184)
Issuance of treasury shares (in Shares) 5,809,243          
Exercise of pre-funded warrants 23,692 23,692
Issuance of common shares in private placement offerings, net $ 126,346 92,492 7,056,711 7,275,549
Issuance of common shares in private placement offerings, net (in Shares) 6,317,301          
Conversion of convertible notes payable $ 50,329   2,422,287 2,472,616
Conversion of convertible notes payable (in Shares) 2,516,429          
Stock-based compensation 22,730 22,730
Issuance of warrants, net 2,047,208 2,047,208
Defined pension plan adjustments 100,948 100,948
Net loss (16,495,680) (16,495,680)
Balance at Dec. 31, 2022 $ 668,555 60,864,530 (58,201,455) (50,791) 3,280,839
Balance (in Shares) at Dec. 31, 2022 32,428,893          
Issuance of treasury shares $ 64,858 (64,858)
Issuance of treasury shares (in Shares) 3,242,887          
Stock-based compensation   164,907 164,907
Defined pension plan adjustments (107,280) (107,280)
Net loss (12,172,029) (12,172,029)
Balance at Dec. 31, 2023 $ 733,413 $ (64,858) $ 61,029,437 $ (70,373,484) $ (158,071) $ (8,833,563)
Balance (in Shares) at Dec. 31, 2023 35,671,780