Annual report pursuant to Section 13 and 15(d)

CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY

v3.8.0.1
CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY - USD ($)
Total
Preferred Stock
Common Stock
Additional Paid-in Capital
Accumulated Deficit
Balance at Dec. 31, 2014 $ (14,398,011)   $ 11,296 $ 29,752,083 $ (44,161,390)
Balance (in shares) at Dec. 31, 2014     11,295,387    
Exercise of Warrants 1,272,626   $ 4,128 1,268,498  
Exercise of Warrants (in shares)     4,128,271    
Reclass Fair Value of Warrant Derivative Liability upon Exercise 2,855,463     2,855,463  
Conversion of Note Payable and Accrued Interest 472,500   $ 210 472,290  
Conversion of Note Payable and Accrued Interest (in shares)     210,000    
Stock Issued for Services 676,665   $ 121 676,544  
Stock Issued for Services (in shares)     120,837    
Warrants Issued for Services 260,373     260,373  
Stock Compensation Expense 568,848     568,848  
Common Stock Awards to Officers, Directors And Law Firm 1,669,700   $ 325 1,669,375  
Common Stock Awards to Officers, Directors And Law Firm (in shares)     325,000    
Proceeds from Preferred Stock Offering 24,813,000 $ 50   24,812,950  
Proceeds from Preferred Stock Offering (in shares)   49,626      
Direct Costs of Preferred Stock and Common Stock Offerings (214,169)     (214,169)  
Reclass Fair Value of Derivative Liability upon Waiver of Certain Anti-Dilutive Provisions 8,736,412     8,736,412  
Reclass Fair Value of Note Derivative Liability upon Waiver of Certain Anti-Dilutive Provisions 2,806,942     2,806,942  
Exercise of Stock Options     $ 8 (8)  
Exercise of Stock Options (in shares)     8,456    
Net Loss (13,427,478)       (13,427,478)
Balance at Dec. 31, 2015 16,092,871 $ 50 $ 16,088 73,665,601 (57,588,868)
Balance (in shares) at Dec. 31, 2015   49,626 16,087,951    
Exercise of Warrants 60,751   $ 97 60,654  
Exercise of Warrants (in shares)     96,620    
Reclass Fair Value of Warrant Derivative Liability upon Exercise 32,911     32,911  
Conversion of Note Payable and Accrued Interest 342,036   $ 152 341,884  
Conversion of Note Payable and Accrued Interest (in shares)     152,016    
Stock Issued for Services 174,025   $ 32 173,993  
Stock Issued for Services (in shares)     32,578    
Stock Compensation Expense 756,928     756,928  
Common Stock Awards to Officers, Directors And Law Firm 241,300   $ 40 241,260  
Common Stock Awards to Officers, Directors And Law Firm (in shares)     40,000    
Proceeds from Common Stock Offerings 21,112,500   $ 3,150 21,109,350  
Proceeds from Common Stock Offerings (in shares)     3,150,000    
Direct Costs of Preferred Stock and Common Stock Offerings (1,874,485)     (1,874,485)  
Exercise of Stock Options 33,082   $ 10 33,072  
Exercise of Stock Options (in shares)     10,082    
Net Loss (19,250,082)       (19,250,082)
Balance at Dec. 31, 2016 17,721,837 $ 50 $ 19,569 94,541,168 (76,838,950)
Balance (in shares) at Dec. 31, 2016   49,626 19,569,247    
Exercise of Warrants     $ 168 (168)  
Exercise of Warrants (in shares)     168,203    
Conversion of Note Payable and Accrued Interest 1,861,283   $ 827 1,860,456  
Conversion of Note Payable and Accrued Interest (in shares)     827,237    
Stock Issued for Services 228,750   $ 42 228,708  
Stock Issued for Services (in shares)     41,543    
Stock Compensation Expense 1,355,522   $ 17 1,355,505  
Stock Compensation Expense (in shares)     16,668    
Common Stock Awards to Officers, Directors And Law Firm 335,000   $ 50 334,950  
Common Stock Awards to Officers, Directors And Law Firm (in shares)     50,000    
Proceeds from Common Stock Offerings 21,128,502   $ 3,566 21,124,936  
Proceeds from Common Stock Offerings (in shares)     3,566,116    
Direct Costs of Preferred Stock and Common Stock Offerings (1,617,679)     (1,617,679)  
Exercise of Stock Options     $ 37 (37)  
Exercise of Stock Options (in shares)     37,261    
Net Loss (19,633,502)       (19,633,502)
Balance at Dec. 31, 2017 $ 21,379,713 $ 50 $ 24,276 $ 117,827,839 $ (96,472,452)
Balance (in shares) at Dec. 31, 2017   49,626 24,276,275