Annual report pursuant to Section 13 and 15(d)

DERIVATIVE FINANCIAL INSTRUMENTS AND WARRANT LIABILITIES (Tables)

v3.24.1
DERIVATIVE FINANCIAL INSTRUMENTS AND WARRANT LIABILITIES (Tables)
12 Months Ended
Dec. 31, 2023
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of assumptions
           
   

May 24, 2023

   

August 3, 2023

 
Conversion Feature Liabilities                
Company stock price on valuation date   $ 157.50     $ 123.975  
Volatility (closing prices of guideline comparable public companies)     86.3%       84.1%  
Conversion price per share   $ 168.75     $ 168.75  
Note term (years)     0.76       0.56  
Risk free interest rate     5.1%       5.4%  
Warrant Liabilities                
Company stock price on valuation date   $ 157.50     $ 123.975  
Volatility (closing prices of guideline comparable public companies)     119.2%       115.0%  
Conversion price per share   $ 168.75     $ 168.75  
Warrant term (years)     4.25       4.06  
Risk free interest rate     3.8%       4.3%  
Schedule of fair value of derivative liabilities
           
    May 24, 2023     August 3, 2023  
Conversion Feature - New Notes   $ 663,096     $ 557,168  
Conversion Feature - Series A Exchange Notes     970,805       416,672  
Conversion Feature - Series B Exchange Notes     4,324,792       2,651,436  
New Warrants     3,123,682       2,445,244  
Exchange Warrants     9,287,474       7,191,535  
Total   $ 18,369,849     $ 13,262,055  
Schedule of warrants assumptions
           
    November 17, 2023     December 31, 2023  
             
Company stock price on valuation date   $ 9.864     $ 4.46  
Volatility     138.2%       141.4%  
Risk free interest rate     4.33%       3.78%  
Dividend yield     0.00%       0.00%  
Warrant term (years)     5.0       4.9  
Time to future transaction (years)     0.75       0.63  
Future transaction probability     75%       75%  
Schedule of estimated fair value
           
    November 17, 2023     December 31, 2023  
Series A Warrant   $ 0.6576     $ 0.2970  
Series B Warrant   $ 0.1996     $ 0.0799  
Schedule of warrant liabilities at fair value
Schedule of warrant liabilities at fair value            
    November 17, 2023     December 31, 2023  
Series A Warrants   $ 10,990,530     $ 4,705,245  
Series B Warrants     3,345,961       1,265,822  
Total   $ 14,336,491     $ 5,971,067  
Schedule of derivative activity
Schedule of derivative activity   May 2023 Notes and May 2023 Warrants     Series A and Series B Warrants  
Fair value on issuance date   $ 18,369,849       14,336,491  
Gain on changes in fair value     (5,107,794 )     (8,365,424 )
Reclassification to equity     (13,262,055 )      
Balance at December 31, 2023   $     $ 5,971,067