Annual report pursuant to Section 13 and 15(d)

Consolidated Statements of Stockholders??? Equity

v3.24.1
Consolidated Statements of Stockholders’ Equity - USD ($)
Redeemable Noncontrolling Interest
Common Stock
Additional Paid in Capital
Accumulated Deficit
Total
Balance at Dec. 31, 2021 $ 4,099 $ 192,502,122 $ (80,273,389) $ 112,232,832
Balance (in Shares) at Dec. 31, 2021 40,990,604      
Preferred dividends attributable to redeemable noncontrolling interest        
Issuance of shares in connection with acquisition $ 78 5,943,522 5,943,600
Issuance of shares in connection with acquisition (in Shares)   780,000      
Shares issued as per ATM agreement (Net of offering costs) $ 86 6,090,330 6,090,416
Shares issued as per ATM agreement (Net of offering costs) (in Shares)   864,674      
Issuance of shares in connection with acquisition $ 2 75,518 75,520
Issuance of shares in connection with acquisition (in Shares)   16,000      
Delivery of shares for restricted stock units $ 101 (101)
Delivery of shares for restricted stock units (in Shares)   1,011,165      
Issuance of shares for payment on convertible debt $ 42 1,199,958 1,200,000
Issuance of shares for payment on convertible debt (in Shares)   415,161      
Issuance of shares upon exercise of options $ 3 64,906 64,909
Issuance of shares upon exercise of options (in Shares)   31,057      
Stock-based compensation 5,857,435 5,857,435
Net loss (73,241,805) (73,241,805)
Balance at Dec. 31, 2022 $ 4,411 211,733,690 (153,515,194) 58,222,907
Balance (in Shares) at Dec. 31, 2022 44,108,661      
Sale of redeemable preferred stock in Ondas Networks, net of issuance costs $ 10,406,949 (307,665) (307,665)
Sale of redeemable preferred stock in Ondas Networks, net of issuance costs (in Shares) 429,123        
Issuance of warrants in connection with the sale of redeemable preferred stock in Ondas Networks 4,593,051 4,593,051
Preferred dividends attributable to redeemable noncontrolling interest 512,207 (512,207) (512,207)
Accretion of redeemable preferred stock in Ondas Networks 1,001,538 (1,001,538) (1,001,538)
Issuance of shares in connection with acquisition of Airobotics, Ltd. $ 284 5,261,654 5,261,938
Issuance of shares in connection with acquisition of Airobotics, Ltd. (in Shares)   2,844,291      
Assumption of vested stock options in connection with acquisition of Airobotics, Ltd. 700,690 700,690
Issuance of shares in connection with acquisition $ 5 85,795 85,800
Issuance of shares in connection with acquisition (in Shares)   46,129      
Delivery of shares for restricted stock units $ 82 (82)
Delivery of shares for restricted stock units (in Shares)   824,733      
Issuance of shares for payment on convertible debt $ 1,403 9,847,884 9,849,287
Issuance of shares for payment on convertible debt (in Shares)   14,028,022      
Issuance of shares upon exercise of options $ 9 40,329 40,338
Issuance of shares upon exercise of options (in Shares)   89,042      
Stock-based compensation 1,047,398 1,047,398
Net loss (44,844,872) (44,844,872)
Balance at Dec. 31, 2023 $ 11,920,694 $ 6,194 $ 231,488,999 $ (198,360,066) $ 33,135,127
Balance (in Shares) at Dec. 31, 2023 429,123 61,940,878