Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Statements of Operations and Comprehensive Loss (Unaudited)

v3.20.2
Condensed Consolidated Statements of Operations and Comprehensive Loss (Unaudited) - USD ($)
3 Months Ended 9 Months Ended
Sep. 30, 2020
Sep. 30, 2019
Sep. 30, 2020
Sep. 30, 2019
Income Statement [Abstract]        
Product Revenue
Product Cost of Sales
Gross Income
Research and Development Expenses 1,741,269 6,140,487
Administrative Expenses 1,223,354 843,144 2,983,443 2,687,681
Sales and Marketing Expenses 6,250 6,163 16,667 18,750
Litigation Settlement Expenses 75,000
Loss from Operations (2,970,873) (849,307) (9,140,597) (2,781,431)
Other (Income) Expenses        
Foreign Currency Transaction (Gain) Loss (32) (93) 4,846
(Gain)/Loss on Investments (6,416) 36,714 (2,155)
Gain on FMV of Equity Investments (31,465) (31,465)
Interest and Dividend Income (23,368) (22,015) (99,116) (81,017)
Total Other Income (54,833) (28,463) (93,960) (78,326)
Loss from Continuing Operations Before Income Tax (2,916,040) (820,844) (9,046,637) (2,703,105)
Income Tax Benefit
Net Loss from Continuing Operations (2,916,040) (820,844) (9,046,637) (2,703,105)
(Loss)/Income from Discontinued Operations Before Income Tax (4,211,157) (16,182) (5,247,227) 154,230
Income Tax
Net (Loss)/Income from Discontinued Operations (4,211,157) (16,182) (5,247,227) 154,230
Net Loss (7,127,197) (837,026) (14,293,864) (2,548,875)
Other Comprehensive Income (Loss)        
Net Unrealized Gain (Loss) on Marketable Securities (1,805) 45,597
Total Other Comprehensive Income (Loss) (1,805) 45,597
Comprehensive Loss $ (7,127,197) $ (838,831) $ (14,293,864) $ (2,503,278)
Basic and Diluted loss per common share from continuing operations $ (0.38) $ (1.51) $ (1.79) $ (4.99)
Basic and Diluted (loss) earnings per common share from discontinued operations (0.55) (0.03) (1.04) 0.28
Basic and Diluted loss per common share $ (0.93) $ (1.54) $ (2.83) $ (4.71)
Weighted average basic common shares outstanding 7,626,780 541,859 5,044,737 541,289