Annual report pursuant to Section 13 and 15(d)

Derivative Liabilities (Tables)

v3.22.1
Derivative Liabilities (Tables)
12 Months Ended
Dec. 31, 2021
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of fair value of Level 3 derivative liabilities (except the Public Special Purpose Acquisition Companies (“SPAC”) warrants as defined below, which are Level 1 derivative liabilities that are measured at fair value on a recurring basis
    For the Year Ended December 31, 2021  
    Warrants              
    Public     Private                 Convertible        
    SPAC     SPAC     PIPE     Other     Notes     Total  
Balance as of January 1, 2021     $ 3,795,000     $ 256,275     $
-
    $ 165,895     $ 225,800     $ 4,442,970  
Extinguishment of derivative liabilities in connection with conversion of debt (1)    
-
     
-
     
-
     
-
      (591,203 )     (591,203 )
Warrants issued in connection with the financing    
-
     
-
      7,294,836      
-
     
-
      7,294,836  
Warrants issued relates to Alpha settlement (1)    
-
     
-
     
-
      95,677      
-
      95,677  
Extinguishment of derivative liabilities in connection with the Alpha settlement (1)    
-
     
-
     
-
     
-
      (699,301 )     (699,301 )
Change in fair value of derivative liabilities     4,253,850       211,050       (778,536 )     (73,680 )     1,064,704       4,677,388  
Balance as of December 31, 2021   $ 8,048,850     $ 467,325     $ 6,516,300     $ 187,892     $
-
    $ 15,220,367  

 

Schedule of derivative liabilities
    For the Year Ended December 31, 2020  
    Warrants    

Convertible

Notes

   

Preferred

Stock

    Total  
Beginning balance as of January 1, 2020     $
-
    $
-
    $
-
    $
-
 
Derivative liabilities assumed at date of Business Combination     2,754,865     $ 23,500     $ 1,167,000     $ 3,945,365  
Derecognition of derivative liabilities in connection with convertible note and preferred stock modification and exchanges    
-
      (723,336 )     (2,033,068 )     (2,756,404 )
Issuance of derivative liabilities    
-
      1,219,700       218,000       1,437,700  
Change in fair value of derivative liabilities     1,462,305       (294,064 )     648,068       1,816,309  
Ending balance as of December 31, 2020   $ 4,217,170     $ 225,800     $
-
    $ 4,442,970  

 

Schedule of option pricing models to derivatives assumed
    December 31,
2021
 
Risk-free interest rate    

0.85% - 1.14

%
Expected term in years    

2.59 - 4.15

 
Expected volatility     98.5 %
Expected dividends     0 %

 

    November 6,  
    2020  
Risk-free interest rate     0.08% - 0.40 %
Expected term (years)     0.26 - 5.01  
Expected volatility     80% - 207
Expected dividends     0.00 %

 

   

November 25,

2020

 
Risk-free interest rate     0.06% - 0.09 %
Expected term (years)     0.24 - 0.54  
Expected volatility     115% - 160 %
Expected dividends     0.00 %

    February 23,
2021
 
Risk-free interest rate     0.59 %
Expected term in years     5.00  
Expected volatility     85 %
Expected dividends     0 %

 

    March 12,
2021
 
Risk-free interest rate     0.68 %
Expected term in years     3.84  
Expected volatility     85 %
Expected dividends     0 %

 

    July 29,
2021
 
Risk-free interest rate     0.37 %
Expected term in years     3.00  
Expected volatility     85 %
Expected dividends     0 %

 

    January 15, 2021 to  
    February 5, 2021  
Risk-free interest rate     0.00% - 0.14 %
Expected term in years     0.02 - 0.18  
Expected volatility     120% - 161 %
Expected dividends     0 %

 

Schedule of warrant activity
    Number of
Warrants
    Weighted Average Exercise Price     Weighted Average Remaining Life in Years   Intrinsic Value
Outstanding, January 1, 2020    
-
     
-
                 
Issued     6,064,908       11.43              
Outstanding, December 31, 2020     6,064,908       11.43              
Issued     5,089,000       6.24              
Exercised    
-
     
-
             
Cancelled    
-
     
-
             
Expired    
-
     
-
             
Outstanding, December 31, 2021     11,153,908     $ 9.06       4.1      
                             
Exercisable, December 31, 2021     11,153,908     $ 9.06       4.1      

 

Schedule of outstanding and exercisable warrants
Warrants Outstanding     Warrants Exercisable  
            Weighted        
            Average        
Exercise     Number of     Remaining     Number of  
Price     Shares     Life in Years     Shares  
$ 5.00       2,564,000       4.2       2,564,000  
$ 5.28       63,658       3.3       63,658  
$ 7.07       25,000       2.6       25,000  
$ 7.50       2,500,000       4.6       2,500,000  
$ 11.50       6,001,250       3.9       6,001,250  
          11,153,908       4.1       11,153,908  

 

Warrants Outstanding     Warrants Exercisable  
            Weighted        
            Average        
Exercise     Number of     Remaining     Number of  
Price     Shares     Life in Years     Shares  
$ 11.50       6,001,250       4.9       6,001,250  
  5.28       63,658               -  
          6,064,908       4.9       6,001,250