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Schedule of Changes in Level 3 Financial Instruments (Details) - USD ($)
3 Months Ended 6 Months Ended
Dec. 31, 2022
Sep. 30, 2022
Dec. 31, 2021
Dec. 31, 2022
Dec. 31, 2021
Fair Value Disclosures [Abstract]          
Warrant liability, ending balance $ 3,820,962 $ 122,730   $ 122,730  
Contingent consideration, beginning balance 3,148,893 3,328,361   3,328,361  
Derivative liability on senior convertible note, beginning balance 9,124,756 9,399,620   9,399,620  
Fair value of warrants   5,286,288      
Change in fair value of September Warrants (1,536,732) (1,482,103)      
Change in fair value of Series A and Series B Warrants issued with Senior Convertible Note   (105,953)      
Change in fair value of Bethard contingent consideration liability   (179,468)   2,864,551 $ (1,851,446)
Change in fair value of derivative liability on the senior convertible note (8,324,802) (274,864) $ 1,482,621 (8,599,666) 1,482,621
Change in (loss) gain on Bethard contingent consideration liability 3,044,019   $ (1,851,446) 2,864,551 $ (1,851,446)
Warrant liability, ending balance 2,284,230 3,820,962   2,284,230  
Contingent consideration, ending balance 6,192,912 3,148,893   6,192,912  
Derivative liability on senior convertible note, ending balance $ 799,954 $ 9,124,756   $ 799,954