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LIQUIDITY AND MANAGEMENT'S PLAN (Details) - USD ($)
12 Months Ended
Aug. 08, 2022
Dec. 10, 2020
Dec. 09, 2020
Sep. 30, 2022
Sep. 30, 2021
LIQUIDITY AND MANAGEMENT'S PLAN          
Accumulated deficit       $ 292,500,088 $ 284,122,092
Net loss       (8,270,059) (14,278,439)
Negative operating cash flow       8,976,706  
Cash and cash equivalents       15,215,285 6,554,948
Working capital       15,757,821  
Proceeds from exercise of warrants   $ 1,100,000 $ 1,100,000 $ 3,700,075 $ 2,613,929
Number of warrants exercised       1,854,200  
Series B Warrants          
LIQUIDITY AND MANAGEMENT'S PLAN          
Proceeds from exercise of warrants $ 3,700,000        
Number of warrants exercised 925,000     925,000  
Public offering          
LIQUIDITY AND MANAGEMENT'S PLAN          
Common stock issued and sold 3,000,000        
Offering price (in dollars per share) $ 4.00        
Net proceeds after deducting placement agent fees and offering expenses $ 10,700,000