Quarterly report pursuant to Section 13 or 15(d)

Other Current and Non-Current Assets (Details) - Schedule of other current assets and non-current assets

v3.22.2.2
Other Current and Non-Current Assets (Details) - Schedule of other current assets and non-current assets - USD ($)
Sep. 30, 2022
Dec. 31, 2021
Schedule Of Other Current Assets And Non Current Assets Abstract    
Prepaid directors and officers liability insurance premium $ 20,764 $ 49,656
Prepaid professional fees 52,562 186,609
Recoverable VAT 31,557 23,655
Deferred leasing costs 122,267 141,214
Security deposit 18,499 20,271
Prepaid NASDAQ listing fee 24,563
Prepaid property tax 36,537
Long-term straight-line rent receivable 158,534 163,211
Long-term deferred financing costs 74,937 74,648
Others 32,178 18,313
Total 572,398 677,577
Current portion 250,042 309,655
Non-current portion 322,356 367,922
Total $ 572,398 $ 677,577