v3.25.1
Condensed Consolidated Statements of Changes in Stockholders' Equity (Deficit) - USD ($)
Preferred Stock
Series A
Previously Reported
Preferred Stock
Series A
Common Stock
February 2023 Public Offering
Common Stock
February 2024 Public Offering
Common Stock
Class D
Common Stock
Class E
Common Stock
Class C Common Stock
Common Stock
Class F Common Stock
Common Stock
Previously Reported
Common Stock
Additional Paid-in Capital
February 2023 Public Offering
Additional Paid-in Capital
February 2024 Public Offering
Additional Paid-in Capital
Class D
Additional Paid-in Capital
Class E
Additional Paid-in Capital
Class C Common Stock
Additional Paid-in Capital
Class F Common Stock
Additional Paid-in Capital
Previously Reported
Additional Paid-in Capital
Accumulated Deficit
February 2023 Public Offering
Accumulated Deficit
February 2024 Public Offering
Accumulated Deficit
Class D
Accumulated Deficit
Class E
Accumulated Deficit
Class C Common Stock
Accumulated Deficit
Class F Common Stock
Accumulated Deficit
Previously Reported
Accumulated Deficit
February 2023 Public Offering
February 2024 Public Offering
Class D
Class E
Class C Common Stock
Class F Common Stock
Previously Reported
Total
Balance (in Shares) at Dec. 31, 2022 1 1             77,375 4,812                                                
Balance at Dec. 31, 2022             $ 77 $ 5             $ 26,399,224 $ 26,399,296             $ (25,346,848) $ (25,346,848)             $ 1,052,453 $ 1,052,453
Retrospective application of reverse recapitalization (in Shares)               (72,540)                                                  
Retrospective application of reverse recapitalization               $ (72)               72                              
Reverse stock split fractional stock round up (in Shares)                 (23)                                                  
Redemption of Series A Preferred Stock (in Shares)   (1)                                                              
Redemption of Series A Preferred Stock                                                          
Issuance of common stock from the February 2024 Public Offering (in Shares)   6,017                                                              
Issuance of common stock from the February 2024 Public Offering   $ 5               $ 33,469                             $ 33,474              
Class D Pre-Funded Warrants exercise (in Shares)                 699                                                
Class D Pre-Funded Warrants exercise                 $ 1               33                             34
Alternative cashless exercise of Class C Common Stock Warrants (in Shares)                 4,948                                                
Alternative cashless exercise of Class C Common Stock Warrants                 $ 5               5,526,282                             5,526,287
RSU awards issued (in Shares)                 8                                                
RSU awards issued                                                          
Stock-based compensation expense                               155,721                             155,721
Net loss                                             (120,254)               (120,254)
Balance (in Shares) at Dec. 31, 2023             264,537 16,484                                                
Balance at Dec. 31, 2023             $ 265 $ 16             32,114,552 32,114,801             (25,467,102) (25,467,102)             6,647,715 6,647,715
Issuance of common stock from the February 2024 Public Offering (in Shares)                   8,029                                                
Issuance of common stock from the February 2024 Public Offering                   $ 8               5,417,045                             5,417,053
Class D Pre-Funded Warrants exercise (in Shares)         77,282                                                          
Class D Pre-Funded Warrants exercise         $ 78               $ 49                             $ 127          
Alternative cashless exercise of Class C Common Stock Warrants (in Shares)             212                                                      
Alternative cashless exercise of Class C Common Stock Warrants                           $ 57,589                             $ 57,589      
Stock-based compensation expense                                 32,094                             32,094
Net loss                                               (2,681,433)               (2,681,433)
Balance (in Shares) at Mar. 31, 2024                   102,007                                                
Balance at Mar. 31, 2024                   $ 102               37,621,578               (28,148,535)               9,473,145
Balance (in Shares) at Dec. 31, 2023             264,537 16,484                                                
Balance at Dec. 31, 2023             $ 265 $ 16             32,114,552 32,114,801             (25,467,102) (25,467,102)             6,647,715 6,647,715
Retrospective application of reverse recapitalization (in Shares)               (248,029)                                                  
Retrospective application of reverse recapitalization               $ (249)               $ 249                              
Reverse stock split fractional stock round up (in Shares)                 (24)                                                  
Issuance of common stock from the February 2024 Public Offering (in Shares)     8,029                                                            
Issuance of common stock from the February 2024 Public Offering     $ 8               $ 5,417,045                             $ 5,417,053            
Class D Pre-Funded Warrants exercise (in Shares)                 77,282                                                
Class D Pre-Funded Warrants exercise                 $ 78               49                             127
Alternative cashless exercise of Class C Common Stock Warrants (in Shares)                 212                                                
Alternative cashless exercise of Class C Common Stock Warrants                               57,589                             57,589
Common stock issued for services (in Shares)                 653                                                
Common stock issued for services                 $ 1               24,999                             25,000
Class D Common Stock Warrants exercises (in Shares)       6,312                                                          
Class D Common Stock Warrants exercises       $ 6               241,384                             241,390          
Class D Warrant Inducement exercises (in Shares)       159,249 254,002                                                        
Class D Warrant Inducement exercises       $ 159 $ 254             $ 3,501,117 $ 3,687,664                         $ 3,501,276 $ 3,687,918        
Stock-based compensation expense                               168,850                             168,850
Net loss                                             (15,038,536)               (15,038,536)
Balance (in Shares) at Dec. 31, 2024                 522,223                                                
Balance at Dec. 31, 2024                 $ 522               45,213,498               (40,505,638)               $ 4,708,382
Alternative cashless exercise of Class C Common Stock Warrants (in Shares)               383,005                                                   62,500
Alternative cashless exercise of Class C Common Stock Warrants               $ 383               $ (383)                                
Issuance of RSA’s                   $ 59               (59)                            
Issuance of RSA’s (in Shares)                   58,568                                                
Stock-based compensation expense                                 223,455                             223,455
Net loss                                               (2,051,085)               (2,051,085)
Balance (in Shares) at Mar. 31, 2025                   963,796                                                
Balance at Mar. 31, 2025                   $ 964               $ 45,436,511               $ (42,556,723)               $ 2,880,752