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CONDENSED STATEMENTS OF CASH FLOWS (UNAUDITED) - USD ($)
6 Months Ended
Mar. 31, 2022
Mar. 31, 2021
Supplemental Schedule Of Non-cash Investing And Financing Activities:    
Property And Equipment Included In Current Liabilities $ 32,549 $ 1,529,284
Capitalizable Patent Costs Included In Current Liabilities 0 20,000
Changes To Right Of Use Assets And Liabilities 16,268 139,862
Finance Lease Obligation Included In Accounts Payable 374 1,304
Prepaid Consulting Services Paid With Issuance Of Common Stock 354,853 483,960
Accrued Consulting Services To Be Paid With Issuance Of Common Stock 165,000 165,000
Exercise Of Derivative Liabilities 70,589 3,591,185
Financing Costs Included In Current Liabilities 4,550 (13,947)
Cash Paid For Interest $ 578,837 $ 561,445