Annual report [Section 13 and 15(d), not S-K Item 405]

Statements of Stockholders' Equity

v3.26.1
Statements of Stockholders' Equity - USD ($)
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
Total
Balance at Dec. 31, 2023 $ 3 $ 59,742,893 $ (53,387,878) $ 6,355,018
Balance, shares at Dec. 31, 2023 26,150      
Issuance of abeyance shares $ 2 (2)
Issuance of abeyance shares, shares 18,200      
Issuance of Common Stock and warrants from May 2024 Warrant Inducement $ 5 2,311,533 2,311,538
Issuance of Common Stock and warrants from May 2024 Warrant Inducement, shares 51,633      
Settlement of fractional shares paid in cash (828) (828)
Settlement of fractional shares paid in cash, shares (15)      
Issuance of Common Stock and warrants from January 2025 PIPE, net of issuance costs 3,081,352 3,081,352
Issuance of Common Stock upon exercise of pre-funded warrants $ 10 999 1,009
Issuance of Common Stock and warrants from January 2025 PIPE, net of issuance costs, shares 100,756      
Issuance of Common Stock from ATM sales, net of issuance costs $ 5 1,442,812 1,442,817
Issuance of Common Stock from ATM sales, net of issuance costs, shares 55,001      
Stock-based compensation 657,649 657,649
Net loss (12,287,461) (12,287,461)
Balance at Dec. 31, 2024 $ 25 67,236,408 (65,675,339) 1,561,094
Balance, shares at Dec. 31, 2024 251,725      
Settlement of fractional shares paid in cash (367)   (367)
Issuance of Common Stock and warrants from January 2025 PIPE, net of issuance costs $ 19 2,254,702 2,254,721
Issuance of Common Stock and warrants from January 2025 PIPE, net of issuance costs, shares 193,539      
Issuance of Common Stock from ATM sales, net of issuance costs $ 15 356,360 356,375
Issuance of Common Stock from ATM sales, net of issuance costs, shares 149,341      
Stock-based compensation 143,732 143,732
Net loss (7,558,557) (7,558,557)
Issuance of Common Stock upon exercise of pre-funded warrants $ 10 967 977
Issuance of Common Stock upon exercise of pre-funded warrants, shares 97,746      
Issuance of Common Stock and warrants from March 2025 Warrant Inducement, net of issuance costs $ 48 5,725,668 5,725,716
Issuance of Common Stock and warrants from March 2025 Warrant Inducement, net of issuance costs, shares 483,447      
Issuance of Common Stock and warrants from December 2025 PIPE, net of issuance costs $ 149 3,739,540 3,739,689
Issuance of Common Stock and warrants from December 2025 PIPE, net of issuance costs, net of issuance costs, shares 1,484,312      
Balance at Dec. 31, 2025 $ 266 $ 79,457,010 $ (73,233,896) $ 6,223,380
Balance, shares at Dec. 31, 2025 2,660,110