Quarterly report pursuant to Section 13 or 15(d)

Debt (Tables)

v3.20.2
Debt (Tables)
9 Months Ended
Jun. 30, 2020
Debt [Abstract]  
Credit Agreement



 

 

 

 

 



June 30,

 

September 30,



2020

 

2019



 

 

 

 

 

Aggregate repayment obligation

$

17,650,000 

 

$

17,650,000 

Less: cumulative payments

 

(8,903,265)

 

 

(5,578,085)

Remaining repayment obligation

 

8,746,735 

 

 

12,071,915 

Less: unamortized discounts

 

(2,102,227)

 

 

(4,590,974)

Less: unamortized deferred issuance costs

 

(49,413)

 

 

(107,910)

Credit agreement, excluding embedded derivative liability, net

 

6,595,095 

 

 

7,373,031 

Add: embedded derivative liability at fair value (see Note 3)

 

4,000 

 

 

899,000 

Credit agreement, net

 

6,599,095 

 

 

8,272,031 

Credit agreement, short-term portion

 

(6,599,095)

 

 

(5,385,649)

Credit agreement, long-term portion

$

 —

 

$

2,886,382 



Residual Royalty Agreement Liability



 

 

 

 

 



June 30,

 

September 30,



2020

 

2019



 

 

 

 

 

Residual royalty agreement liability, fair value at inception

$

346,000 

 

$

346,000 

Add: accretion of liability using effective interest rate

 

1,702,353 

 

 

773,518 

Residual royalty agreement liability, excluding embedded derivative liability

 

2,048,353 

 

 

1,119,518 

Add: embedded derivative liability at fair value (see Note 3)

 

3,715,000 

 

 

2,726,000 

Total residual royalty agreement liability

 

5,763,353 

 

 

3,845,518 

Residual royalty agreement liability, short-term portion

 

(356,346)

 

 

 —

Residual royalty agreement liability, long-term portion

$

5,407,007 

 

$

3,845,518 



Credit Agreement Interest Expense



 

 

 

 

 

 

 

 

 

 

 



Three Months Ended

 

Nine Months Ended



June 30,

 

June 30,



2020

 

2019

 

2020

 

2019



 

 

 

 

 

 

 

 

 

 

 

Amortization of discounts

$

782,169 

 

$

922,144 

 

$

2,488,747 

 

$

3,187,972 

Accretion of residual royalty agreement

 

369,138 

 

 

147,223 

 

 

928,835 

 

 

363,520 

Amortization of deferred issuance costs

 

18,385 

 

 

21,909 

 

 

58,497 

 

 

76,479 

Interest expense

$

1,169,692 

 

$

1,091,276 

 

$

3,476,079 

 

$

3,627,971