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Consolidated Statements of Stockholders' Equity (Deficit) - USD ($)
Series A Preferred Stock [Member]
Preferred Stock [Member]
Series C Preferred Stock [Member]
Preferred Stock [Member]
Common Stock [Member]
Additional Paid-in Capital [Member]
Common Stock Issuable [Member]
Retained Earnings [Member]
Total
Balance at Jun. 30, 2021 $ 33 $ 138,470 $ 38,218 $ 124,089,785 $ 247,750 $ (105,073,651) $ 19,440,605
Beginning balance, shares at Jun. 30, 2021 33,334 13,847 38,217,844        
Shares issued for services $ 959 20,582,985 (154,000) 20,429,944
Shares issued for services, shares     958,581        
Shares issued upon vesting of share-based awards $ 126 (126)
Shares issued upon vesting, shares     126,129        
Stock-based compensation expense 1,233,155 1,233,155
Shares issued from private placement, net of issuance costs $ 1,693 36,936,958 36,938,651
Shares issued from private placement, net of issuance costs, shares     1,692,641        
Shares reclaimed from former professional service proider, shares     $ (58,712)        
Net loss for the period (33,539,962) (33,539,962)
Shares withheld from employees for tax remittance $ (29) (313,305) (313,334)
Shares withheld from employees for tax remittance, shares     (28,932)        
Shares reclaimed from former executive     $ (67) 67
Shares reclaimed from former executive, shares     (66,667)        
Net shares reclaimed as part of legal settlements   $ (280) 560,280 560,000
Net shares reclaimed as part of legal settlements, shares     (280,000)        
Shares issued for exercise of warrants $ 1,015 936,485 (18,750) 918,750
Shares issued for exercise of warrants, shares     1,015,247        
Shares issued pursuant to Series C preferred shares conversion $ (138,470) $ 1,108 137,362
Shares issued pursuant to Series C preferred shares conversion, shares   (13,847) 1,107,733        
Redemption of Series A preferred shares $ 33 33
Redemption of Series A preferred shares, shares (33,334)            
Shares issued pursuant to share purchase agreement $ 200 3,987,805 3,988,005
Shares issued pursuant to share purchase agreement, shares     200,000        
Dividends declared (21,755) (21,755)
Balance at Jun. 30, 2022 $ 42,943 188,151,484 75,000 (138,635,368) 49,634,059
Ending balance, shares at Jun. 30, 2022 42,942,576        
Shares issued for services $ 10 103,579 (59,693) 43,895
Shares issued for services, shares 10,009        
Shares issued upon vesting of share-based awards $ 399 (399)
Shares issued upon vesting, shares     399,024        
Stock-based compensation expense 9,249,462 9,249,462
Shares issued pursuant to share purchase agreement $ 433 3,908,490 39,089,234
Shares issued pursuant to share purchase agreement, shares     433,333        
Shares issued towards plant acquisition $ 733 7,358,267 (1,500,000) 5,859,000
Shares issued towards plant acquistion, shares     733,333        
Shares issued pursuant to registration statement $ 952 8,856,399 8,857,351
Shares issued pursuant to registration statement, shares     952,381        
Shares issued from private placement, net of issuance costs $ 476 4,999,524 $ 5,000,000
Shares issued from private placement, net of issuance costs, shares     476,187       33,333
Shares reclaimed from former professional service proider, shares $ (59) 59
Net loss for the period (21,338,207) $ (21,338,207)
Shares reclaimed from former executive, shares             66,667
Balance at Jun. 30, 2023 $ 45,888 $ 222,626,865 $ (1,484,693) $ (159,973,575) $ 61,214,484
Ending balance, shares at Jun. 30, 2023 45,888,131