Quarterly report [Sections 13 or 15(d)]

Condensed Consolidated Statements of Operations (Unaudited)

v3.26.1
Condensed Consolidated Statements of Operations (Unaudited) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Revenue:        
Total revenue $ 885,947 $ 2,075,566 $ 1,045,521 $ 2,240,822
Revenue from Contract with Customer, Product and Service [Extensible Enumeration] Service [Member] Service [Member] Service [Member] Service [Member]
Costs and expenses:        
Cost of revenue (exclusive of items shown separately below) $ 2,867,556 $ 3,504,043 $ 4,861,449 $ 4,743,000
Cost, Product and Service [Extensible Enumeration] Service [Member] Service [Member] Service [Member] Service [Member]
Depreciation and amortization $ 702,418 $ 574,563 $ 1,327,210 $ 1,054,939
General and administrative 3,324,365 4,418,187 6,549,272 8,777,873
Total costs and expenses 6,894,339 8,496,793 12,737,931 14,575,812
Operating loss (6,008,392) (6,421,227) (11,692,410) (12,334,990)
Other (income) expense, net:        
Other (income) expense, net 10,141 2,461 6,994 (134,936)
Foreign currency transaction loss 6,514 274 7,484 3,541
Loss on extinguishment of debt 4,629,822 0 5,559,330 0
Change in fair value of derivative (264,827) 0 251,000 0
Change in fair value of warrant liabilities (6,325) 8,757 (9,344) (42,131)
Change in fair value of November 2024 Debentures     1,094,112 536,060
Interest expense, net 826,982 1,209,323 1,780,066 2,323,839
Total other expense, net 5,107,579 1,032,949 8,689,642 2,686,373
Net loss $ (11,115,971) $ (7,454,176) [1] $ (20,382,052) $ (15,021,363)
Basic loss per share (in dollars per share) [2] $ (2.11) $ (18.50) $ (4.51) $ (38.31)
Diluted loss per share (in dollars per share) [2] $ (2.11) $ (18.50) $ (4.51) $ (38.31)
Basic weighted average shares outstanding (in shares) [2] 5,367,986 402,876 4,608,495 392,105
Diluted weighted average shares outstanding (in shares) [2] 5,367,986 402,876 4,608,495 392,105
New Convertible Secured Debentures        
Other (income) expense, net:        
Change in fair value of November 2024 Debentures $ (94,728) $ (187,866) $ 1,094,112 $ 536,060
[1] Reflects the 1-for-9 reverse split effected September 5, 2025 and the 1-for-8 effected April 21, 2026.
[2] Reflects the 1-for-9 reverse split effected September 5, 2025 and the 1-for-8 effected April 21, 2026.