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CONDENSED CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY (DEFICIT) - USD ($)
Preferred Stock
Series A Preferred Stock
Preferred Stock
Series B Preferred Stock
Preferred Stock
Series C Preferred Stock
Preferred Stock
Series D Preferred Stock
Preferred Stock
Series AA Preferred Stock
Common Stock
Common Stock Owed But Unissued
Paid-in Capital
Accumulated Deficit
Non-controlling Interest
Total
Balance, beginning at Sep. 30, 2021 $ 100 $ 5,568       $ 31   $ 88,664,069 $ (150,374,649)   $ (61,704,881)
Balance, beginning (in shares) at Sep. 30, 2021 100,363 5,567,319       31,326          
Cashless warrant exercise           $ 1,628   373,966,197     373,967,825
Cashless warrant exercise (in shares)           1,627,718          
Issuance of common stock for conversion of preferred stock $ (98) $ (5,568) $ (3,988)     $ 86   15,878     6,310
Issuance of common stock for conversion of preferred stock (in shares) (98,429) (5,567,319) (3,988,385)     86,216          
Common shares issued for cash     $ 4,974     $ 292   84,496,245     84,501,511
Common shares issued for cash (in shares)     4,974,266     292,011          
Common shares issued for asset           $ 0   141,105     141,105
Common shares issued for asset (in shares)           486          
Preferred shares issued for cash     $ 2,264         19,997,736     20,000,000
Preferred shares issued for cash (in shares)     2,263,970                
Preferred shares issued to settle liability     $ 2,914         25,670,863     25,673,777
Preferred shares issued to settle liability (in shares)     2,913,929                
Warrant issuances               25,491,621     25,491,621
Common shares issued to settle liability           $ 78   27,296,713     27,296,791
Common shares issued to settle liability (in shares)           78,362          
Common shares issued for note receivable           $ 64   (64)     0
Common shares issued for note receivable (in shares)           63,749          
Share-based compensation           $ 37   31,070,408     31,070,445
Share-based compensation (in shares)           36,552          
Preferred stock dividends               (4,805,740)     (4,805,740)
Reclassification of convertible security to derivative liability $ (2)   $ (6,164)               (6,166)
Reclassification of convertible security to derivative liability (in shares) (1,934)   (6,163,780)                
Net loss                 (485,517,181)   (485,517,181)
Balance, ending at Jun. 30, 2022 $ 0 $ 0 $ 0     $ 2,216   672,005,031 (635,891,830)   36,115,417
Balance, ending (in shares) at Jun. 30, 2022           2,216,420          
Balance, beginning at Mar. 31, 2022 $ 2 $ 2,785 $ 8,303     $ 1,288   476,633,341 (631,044,679)   (154,398,960)
Balance, beginning (in shares) at Mar. 31, 2022 1,934 2,783,659 8,303,323     1,287,929          
Cashless warrant exercise           $ 756   166,289,993     166,290,749
Cashless warrant exercise (in shares)           756,583          
Issuance of common stock for conversion of preferred stock   $ (2,785) $ (2,139)     $ 22   3,052     (1,850)
Issuance of common stock for conversion of preferred stock (in shares)   (2,783,659) (2,139,543)     21,881          
Common shares issued to settle liability           $ 78   26,261,775     26,261,853
Common shares issued to settle liability (in shares)           77,778          
Common shares issued for note receivable           $ 64   (64)     0
Common shares issued for note receivable (in shares)           63,749          
Share-based compensation           $ 8   5,102,726     5,102,734
Share-based compensation (in shares)           8,500          
Preferred stock dividends               (2,285,792)     (2,285,792)
Reclassification of convertible security to derivative liability $ (2)   $ (6,164)               (6,166)
Reclassification of convertible security to derivative liability (in shares) (1,934)   (6,163,780)                
Net loss                 (4,847,151)   (4,847,151)
Balance, ending at Jun. 30, 2022 $ 0 $ 0 $ 0     $ 2,216   672,005,031 (635,891,830)   36,115,417
Balance, ending (in shares) at Jun. 30, 2022           2,216,420          
Balance, beginning at Sep. 30, 2022 $ 2   $ 1,360 $ 4,359   $ 3,704   948,594,920 (889,907,455) $ 98,259,819 156,956,709
Balance, beginning (in shares) at Sep. 30, 2022 1,924   1,360,321 4,359,652   3,704,303          
Cashless warrant exercise           $ 51,215 $ 17,126 493,736,977     493,805,318
Cashless warrant exercise (in shares)           51,214,721 17,125,589        
Issuance of preferred stock, common stock and prefunded warrants in lieu of preferred stock       $ 273,364   $ 25,373   196,525,116     196,823,853
Issuance of preferred stock, common stock and prefunded warrants in lieu of preferred stock (in shares)       273,363,635   25,373,502          
Issuance of common stock for conversion of convertible notes           $ 2,358   153,219,879     153,222,237
Issuance of common stock for conversion of convertible notes (in shares)           2,357,615          
Issuance of common stock for conversion of preferred stock $ (1)   $ (150) $ (277,360)   $ 1,234   276,277      
Issuance of common stock for conversion of preferred stock (in shares) (888)   (150,265) (277,360,190)   1,233,775          
Reclassification of derivatives to equity upon authorization of sufficient number of shares               47,818,882     47,818,882
Warrants exercised for receivable and financing loss           $ 528   14,974,279     14,974,807
Warrants exercised for receivable and financing loss (in shares)           527,883          
Shares issued to settle note payable           $ 276   13,736,127     13,736,403
Shares issued to settle note payable (in shares)           275,772          
Shares issued to extinguish penalty           $ 102   5,519,898     5,520,000
Shares issued to extinguish penalty (in shares)           102,222          
Preferred shares issued to officers               25,000     25,000
Preferred shares issued to officers (in shares)         1            
Preferred shares series AA refund               (25,000)     (25,000)
Preferred shares series AA refund (in shares)         (1)            
Share-based compensation           $ 1,973   68,389,665     68,391,638
Share-based compensation (in shares)           1,972,955          
Preferred stock dividends waiver               7,387,808     7,387,808
Noncontrolling interest                   (6,748,302) (6,748,302)
Net loss                 (800,047,339)   (800,047,339)
Balance, ending at Jun. 30, 2023 $ 1   $ 1,210 $ 363   $ 86,763 $ 17,126 1,950,179,828 (1,689,954,794) 91,511,517 351,842,014
Balance, ending (in shares) at Jun. 30, 2023 1,036   1,210,056 363,097   86,762,748 17,125,589        
Balance, beginning at Mar. 31, 2023 $ 2   $ 1,209 $ 363   $ 14,031 $ 659 1,550,147,736 (1,381,096,561) 94,079,643 263,147,082
Balance, beginning (in shares) at Mar. 31, 2023 1,426   1,210,056 363,098   14,031,253 658,918        
Cashless warrant exercise           $ 45,022 $ 16,467 190,121,819     190,183,308
Cashless warrant exercise (in shares)           45,021,915 16,466,671        
Issuance of preferred stock, common stock and prefunded warrants in lieu of preferred stock       $ 273,364   $ 25,374   196,525,115     196,823,853
Issuance of preferred stock, common stock and prefunded warrants in lieu of preferred stock (in shares)       273,363,635   25,373,502          
Issuance of common stock for conversion of preferred stock $ (1)   $ 1 $ (273,364)   $ 1,215   272,149      
Issuance of common stock for conversion of preferred stock (in shares) (390)     (273,363,636)   1,215,123          
Share-based compensation           $ 1,121   13,126,134     13,127,255
Share-based compensation (in shares)           1,120,955          
Preferred stock dividends               (13,125)     (13,125)
Noncontrolling interest                   (2,568,126) (2,568,126)
Net loss                 (308,858,233)   (308,858,233)
Balance, ending at Jun. 30, 2023 $ 1   $ 1,210 $ 363   $ 86,763 $ 17,126 $ 1,950,179,828 $ (1,689,954,794) $ 91,511,517 $ 351,842,014
Balance, ending (in shares) at Jun. 30, 2023 1,036   1,210,056 363,097   86,762,748 17,125,589