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Secured Credit Facilities (Details Narrative) - USD ($)
3 Months Ended 6 Months Ended 12 Months Ended
Oct. 13, 2022
Oct. 07, 2022
Apr. 01, 2022
Apr. 19, 2021
Jun. 30, 2023
Jun. 30, 2022
Jun. 30, 2023
Jun. 30, 2022
Dec. 31, 2022
Oct. 06, 2023
Debt instrument face amount         $ 1,200,000   $ 1,200,000      
Interest expense         $ 326,000 $ 762,000 $ 655,000 $ 1,168,000    
Common stock, par value         $ 0.0001   $ 0.0001   $ 0.0001  
Stock issuance cost percentage         5.00%   5.00%      
Common Stock [Member]                    
Number of shares issued         135,000 10,000        
Secured Convertible Promissory Notes [Member]                    
Debt instrument face amount     $ 3,500,000              
Interest expense             $ 200,000      
Debt instrument interest rate during period     6.00%       6.00%      
Debt instrument, conversion price         $ 44.00   $ 44.00      
Debt instrument maturity date             Oct. 18, 2022      
Share price     $ 26.00              
Secured Convertible Promissory Notes [Member] | Common Stock [Member]                    
Share price     $ 24.00              
Roth Capital, LLC [Member]                    
Proceeds from issuance initial public offering             $ 3,100,000      
Each of the Subscribers [Member]                    
Number of shares issued                 4,808  
Note Purchase Agreement [Member]                    
Debt instrument face amount   $ 4,500,000     $ 4,500,000   4,500,000      
Payments in cash   $ 1,200,000                
Secured debt percentage   9.25%                
Interest expense             $ 200,000      
Note Purchase Agreement [Member] | Subscribers [Member]                    
Secured debt percentage 6.00%               6.00%  
Note Purchase Agreement [Member] | Each of the Subscribers [Member]                    
Number of shares issued 4,808                  
Note Purchase Agreement [Member] | Forecast [Member]                    
Commitment fee, amount                   $ 45,000
Note Purchase Agreement [Member] | TQLA, LLC [Member]                    
Debt instrument face amount                 $ 3,300,000  
Repayment of debt   $ 3,300,000                
Purchase Agreement [Member] | Accredited Investors [Member] | Secured Convertible Promissory Notes [Member]                    
Proceeds from loans       $ 3,300,000            
Debt instrument interest rate during period       6.00%            
Common stock, par value       $ 0.0001            
Purchase Agreement [Member] | Accredited Investors [Member] | Secured Convertible Promissory Notes [Member] | IPO [Member]                    
Proceeds from issuance initial public offering       $ 3,300,000            
Purchase Agreement [Member] | Accredited Investors [Member] | Secured Convertible Promissory Notes [Member] | Warrant [Member]                    
Warrant exercise price       $ 52.00            
Purchase Agreement [Member] | Accredited Investors [Member] | Secured Convertible Promissory Notes [Member] | Common Stock [Member]                    
Debt instrument, conversion price       $ 44.00            
Outstanding notes payable percentage       60.00%