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Consolidated Statements of Changes in Stockholders' Equity - USD ($)
Common Stock [Member]
Additional Paid-in Capital [Member]
AOCI Attributable to Parent [Member]
Retained Earnings [Member]
Parent [Member]
Noncontrolling Interest [Member]
Total
Balance at Dec. 31, 2021 $ 35,290 $ 101,274,073 $ (84,744,629) $ 16,564,734 $ 16,564,734
Balance, shares at Dec. 31, 2021 3,529,018            
Fair value of warrant modification for professional services 67,370 67,370 67,370
Stock-based compensation 5,484,044 5,484,044 5,484,044
Net loss (18,640,543) (18,640,543) (2,394,100) (21,034,643)
Stock issued upon exercise of warrants $ 3,320 4,711 8,031 8,031
Stock issued upon exercise of warrants, shares 332,000            
Common stock and prefunded warrants issued for business acquisition $ 3,500 3,740,417 3,743,917 3,882,225 7,626,142
Common stock and prefunded warrants issued for business acquisition, shares 350,000            
 Noncontrolling interest adjustments relating to Stock-based compensation and other (42,756) (42,756) 42,756
Foreign currency translation adjustment 50,721 50,721 50,721
Fair value of warrant modification for business acquisition 696 696 696
Issuance of rounded shares as a result of the reverse stock split (505) (505) (505)
Issuance of rounded shares as a result of the reverse stock split, shares (281)            
Balance at Dec. 31, 2022 $ 42,110 110,528,050 50,721 (103,385,172) 7,235,709 1,530,881 8,766,590
Balance, shares at Dec. 31, 2022 4,210,737            
Voluntary conversion of convertible debt into common stock $ 842 1,111,740 1,112,582 1,112,582
Voluntary conversion of convertible debt into common stock, shares 841,726            
Redemptions of convertible debt into common stock $ 310 254,006 254,316 254,316
Redemptions of convertible debt into common stock, shares 309,665            
Fair value of warrant modification for professional services 7,945 7,945 7,945
Fair value of warrant reclassified from liabilities to equity 1,626,694 1,626,694 1,626,694
Stock-based compensation 1,098,533 1,098,533 9,297 1,107,830
Foreign currency translation adjustment 28,597 81,170 109,767 38,303 148,070
Deconsolidation of discontinued operations (131,891) (131,891) (1,235,443) (1,367,334)
Net loss (13,417,212) (13,417,212) (343,038) (13,760,250)
Foreign currency translation adjustment             119,473
Balance at Dec. 31, 2023 $ 43,262 $ 114,655,565 $ (116,802,384) $ (2,103,557) $ (2,103,557)
Balance, shares at Dec. 31, 2023 5,362,128