General form of registration statement for all companies including face-amount certificate companies

Transition Period Comparative Data (Details)

v3.7.0.1
Transition Period Comparative Data (Details) - USD ($)
3 Months Ended 9 Months Ended 11 Months Ended 12 Months Ended
Mar. 31, 2017
Jun. 30, 2016
Mar. 31, 2016
Jun. 30, 2015
Mar. 31, 2017
Mar. 31, 2016
Mar. 31, 2015
Jun. 30, 2016
Mar. 31, 2016
Jun. 30, 2015
Expenses                    
Research and development $ 1,162,138 $ 709,314 $ 375,779 $ 228,125 $ 2,590,698 $ 1,049,391 $ 244,635 $ 1,758,701 $ 1,222,194 $ 470,987
General and administrative 1,203,641 968,734 480,757 625,917 4,533,652 1,966,561 339,214 2,935,299 2,647,800 920,031
Total expense 2,365,779 1,678,048 856,536 854,042 7,124,350 3,015,952 583,849 4,694,000 3,869,994 1,391,018
Other income (expenses)                    
Grant income   20,500   29,999     137,500 254,834 264,333 167,499
Interest income 671 186 305 175 970 1,153 1,339 1,328 175
Change in fair value of warrant derivative liability (8,028) (860,275) (127,994) 1,571 (877,490) (108,565) (968,840) (106,994) 1,571
Total other income (expenses) (7,357) (839,589) (127,189) 31,745 (876,520) (106,912) 137,500 (712,167) 159,167 169,245
Net loss for the period $ (2,064,172) $ (2,517,637) $ (749,391) $ (822,297) $ (7,532,838) $ (2,888,530) $ (446,349) $ (5,406,167) $ (3,710,827) $ (1,221,773)
Loss per share - basic and diluted (in dollars per share) $ (0.12) $ (0.17) $ (0.06) $ (0.11) $ (0.46) $ (0.22) $ (0.08) $ (0.40) $ (0.32) $ (0.20)
Weighted average number of shares outstanding - basic and diluted (in shares) 17,691,114 15,111,088 13,161,247 7,823,683 16,419,225 12,854,810 5,493,200 13,349,482 11,702,313 6,240,780
Cash flow Data:                    
Net cash used in operating activities   $ (1,100,342)   $ (576,492) $ (4,031,537) $ (2,212,622) $ (433,065) $ (3,312,969) $ (2,789,118) $ (980,044)
Net cash used in investing activities   (47,215)   (23,378) (594,235) (156,456) (99,197) (203,667) (179,830) (111,727)
Net cash provided by financing activities   2,572,896   4,241,627 9,896,027 769,687 1,220,001 3,342,584 5,011,314 4,931,627
Net increase in cash for the period   $ 1,425,339   $ 3,641,757 $ 5,270,255 $ (1,599,391) $ 687,739 $ (174,052) $ 2,042,366 $ 3,839,856