Annual report pursuant to Section 13 and 15(d)

STATEMENTS OF CHANGES IN SHAREHOLDERS' EQUITY

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STATEMENTS OF CHANGES IN SHAREHOLDERS' EQUITY - USD ($)
Common Stock
Registered Direct Offering
Common Stock
At the Market Offering
Common Stock
Additional Paid-In Capital
Registered Direct Offering
Additional Paid-In Capital
At the Market Offering
Additional Paid-In Capital
Accumulated Deficit
Registered Direct Offering
At the Market Offering
Total
Balance at beginning at Dec. 31, 2021     $ 10,216     $ 38,948,334 $ (26,548,309)     $ 12,410,241
Balance at beginning, Common shares (in shares) at Dec. 31, 2021     10,215,792              
Share-Based Compensation           2,871,681       2,871,681
Share-Based Payments to Vendors     $ 115     430,565       430,680
Share-Based Payments to Vendors (in shares)     (114,889)              
Issuance of shares of common stock and pre-funded warrants, net of cash issuance costs     $ 1,159     3,694,023       3,695,182
Issuance of shares of common stock and pre-funded warrants, net of cash issuance costs (in shares)     1,159,211              
Cashless Warrant Exercise     $ 7     (7)        
Cashless Warrant Exercise (in shares)     6,948              
Pre-funded Warrant Exercise     $ 131     (118)       13
Pre-funded Warrant Exercise (in shares)     (130,769)              
Net Income (Loss)             (12,092,776)     (12,092,776)
Balance at ending at Dec. 31, 2022     $ 11,628     45,944,478 (38,641,085)     $ 7,315,021
Balance at ending, Common shares (in shares) at Dec. 31, 2022     11,627,609             11,627,609
Share-Based Compensation           3,206,527       $ 3,206,527
Share-Based Payments to Vendors     $ 140     559,443       559,583
Share-Based Payments to Vendors (in shares)     140,186              
Issuance of shares of common stock and pre-funded warrants, net of cash issuance costs $ 602 $ 680   $ 3,543,010 $ 2,399,958     $ 3,543,612 $ 2,400,638  
Issuance of shares of common stock and pre-funded warrants, net of cash issuance costs (in shares) 601,851 680,252             698,121  
Cashless Warrant Exercise     $ 4     (4)        
Cashless Warrant Exercise (in shares)     4,080              
Warrant Exercise     $ 683     2,218,316       2,218,999
Warrant Exercise (in shares)     682,769              
Pre-funded Warrant Exercise     $ 731     (658)       73
Pre-funded Warrant Exercise (in shares)     731,482              
Net Income (Loss)             (14,577,768)     (14,577,768)
Balance at ending at Dec. 31, 2023     $ 14,468     $ 57,871,070 $ (53,218,853)     $ 4,666,685
Balance at ending, Common shares (in shares) at Dec. 31, 2023     14,468,229             14,468,229