Quarterly report pursuant to Section 13 or 15(d)

Commitments and Contingencies (Details Narrative)

v3.22.2
Commitments and Contingencies (Details Narrative)
6 Months Ended
Nov. 03, 2020
Jun. 30, 2022
USD ($)
Jun. 30, 2022
EUR (€)
Jun. 30, 2022
EUR (€)
Dec. 31, 2021
USD ($)
Initial Rent, In Month   $ 7,642      
Right Of Use Assets In Exchange For Right Of Use Liabilities   461,341      
Payable By Company For Services Rendered   4,375      
Payments For Future Research And Collobration   784,479      
Aggerate Amount Payable, Description the Company to pay in aggregate of up to $2.9 million over a period of 22 months        
Grant Repyable   272,599      
Long-term debt payable   2,828,245      
Unrecognized compensation expense   635,526      
Compensation expense   541,337      
Operating Lease Right-of-use Assets   739,015     $ 383,551
Operating Lease Liabilities   761,323      
Short Term Lease Costs   41,708      
Finance Lease Obligations [Member]          
Lease Payable   555,865      
August 2021 [Member]          
Accrued Compensation   737,137      
In 2018 [Member] | Walloon Region Government [Member] | Colorectal Cancer Research Agreement [Member]          
Amount Repayable   $ 112,340      
Terms Of Agreement Description   it is due to pay a 3.53% royalty on such revenue to the Walloon Region. The maximum amount payable to the Walloon Region, in respect of the aggregate of the amount repayable of €181,500 and the 3.53% royalty on revenue, is equal to the amount of funding received it is due to pay a 3.53% royalty on such revenue to the Walloon Region. The maximum amount payable to the Walloon Region, in respect of the aggregate of the amount repayable of €181,500 and the 3.53% royalty on revenue, is equal to the amount of funding received    
Repayment Of Grants | €       € 181,500  
Royality On Revenue   3.53% 3.53%    
Grant Receivable | €       605,000  
Grant Repaid By Installments   over 12 years over 12 years    
In 2018 [Member] | BNP Paribas leasing solutions [Member] | Finance Lease Obligations [Member]          
Amount Payable   $ 0      
Purchase Price For The Property | €       € 25,000  
Maturity Date   January 2022 January 2022    
Implicit Interest   1.35%   1.35%  
Leased Equipment Amortized Term   5 years 5 years    
In 2016 [Member] | ING [Member] | Long-term Debt [Member]          
Maturity Date   May 2031 May 2031    
Fixed Interest Rate On Lease   2.62%   2.62%  
Lease Payable   $ 492,173      
In 2010 [Member] | Walloon Region Government [Member]          
Amount Repayable   $ 57,562      
Terms Of Agreement Description   it is due to pay a 6% royalty on such revenue to the Walloon Region. The maximum amount payable to the Walloon Region, in respect of the aggregate of the amount repayable of €314,406 and the 6.00% royalty on revenue, is equal to twice the amount of funding received it is due to pay a 6% royalty on such revenue to the Walloon Region. The maximum amount payable to the Walloon Region, in respect of the aggregate of the amount repayable of €314,406 and the 6.00% royalty on revenue, is equal to twice the amount of funding received    
Repayment Of Grants | €       € 314,406  
Royality On Revenue   6.00% 6.00%    
In 2020 [Member] | Walloon Region Government [Member]          
Amount Repayable   $ 54,092      
Terms Of Agreement Description   it is due to pay a 2.89% royalty on such revenue to the Walloon Region. The maximum amount payable to the Walloon Region, in respect of the aggregate of the amount repayable of €148,500 and the 2.89% royalty on revenue, is equal to the amount of funding received it is due to pay a 2.89% royalty on such revenue to the Walloon Region. The maximum amount payable to the Walloon Region, in respect of the aggregate of the amount repayable of €148,500 and the 2.89% royalty on revenue, is equal to the amount of funding received    
Repayment Of Grants | €       148,500  
Royality On Revenue   2.89% 2.89%    
Grant Receivable | €       495,000  
Grant Repaid By Installments   over 10 years over 10 years    
In 2020 [Member] | Walloon Region Government [Member] | Colorectal Cancer Research Agreement [Member]          
Amount Repayable   $ 48,605      
Terms Of Agreement Description   it is due to pay a 4.34% royalty on such revenue to the Walloon Region. The maximum amount payable to the Walloon Region, in respect of the aggregate of the amount repayable of €278,830 and the 4.34% royalty on revenue, is equal to the amount of funding received it is due to pay a 4.34% royalty on such revenue to the Walloon Region. The maximum amount payable to the Walloon Region, in respect of the aggregate of the amount repayable of €278,830 and the 4.34% royalty on revenue, is equal to the amount of funding received    
Repayment Of Grants | €       278,830  
Royality On Revenue   4.34% 4.34%    
Grant Receivable | €       € 929,433  
Grant Repaid By Installments   over 15 years over 15 years    
In 2019 [Member] | Collaborative Arrangement, Co-promotion [Member]          
Collaborative Obligations Amount Due   $ 18,994      
Lease Agreement Expire Period   five-year five-year    
Collaborative Obligations Amount   $ 400,000      
Research Collaboration Agreement Description   Company entered into a funded sponsored research agreement with the Texas A&M University (“TAMU”) in consideration for the license granted to the Company for a five-year period for a cost to the Company of up to $400,000 payable over such period Company entered into a funded sponsored research agreement with the Texas A&M University (“TAMU”) in consideration for the license granted to the Company for a five-year period for a cost to the Company of up to $400,000 payable over such period    
Stock Incentive Plan [Member]          
Stock Option Expenses   $ 1,303,627      
Restricted Stock   500,000      
Total Of Stock Option   1,000,000      
Stock Incentive Plan [Member] | RSU [Member]          
Stock Option Expenses   1,113,059      
Managing Director's Agreement [Member]          
Amount Payable   217      
Royalty Payment   $ 134,217      
Royality   6.00% 6.00%    
Loan Agreement [Member] | In 2016 [Member] | ING [Member] | Long-term Debt [Member]          
Maturity Date   December 2031 December 2031    
Fixed Interest Rate   2.62%   2.62%  
Repayment Of Long-term Loan Amount | €     € 270,000    
Loan Agreement Term   15 years 15 years    
Principal Balance Payable   $ 192,996      
Loan Agreement [Member] | In 2016 [Member] | Namur Invest [Member] | Long-term Debt [Member]          
Maturity Date   December 2023 December 2023    
Fixed Interest Rate   4.85%   4.85%  
Repayment Of Long-term Loan Amount | €     € 440,000    
Loan Agreement Term   7 years 7 years    
Total Long-term Debt   $ 119,470      
Loan Agreement [Member] | In 2019 [Member] | Namur Invest [Member] | Long-term Debt [Member]          
Maturity Date   September 2024 September 2024    
Fixed Interest Rate   4.80%   4.80%  
Repayment Of Long-term Loan Amount | €     € 500,000    
Loan Agreement Term   4 years 4 years    
Total Long-term Debt   $ 346,385      
Loan Agreement [Member] | In 2017 [Member] | SOFINEX [Member] | Long-term Debt [Member]          
Maturity Date   September 2024 September 2024    
Fixed Interest Rate   4.50%   4.50%  
Repayment Of Long-term Loan Amount | €     € 1,000,000    
Loan Agreement Term   7 years 7 years    
Total Long-term Debt   $ 575,615      
Loan Agreement [Member] | October 13, 2020 [Member] | Namur [Member] | Long-term Debt [Member]          
Maturity Date   March 2031 March 2031    
Fixed Interest Rate   4.00%   4.00%  
Repayment Of Long-term Loan Amount | €     € 830,000    
Loan Agreement Term   10 years 10 years    
Total Long-term Debt   $ 778,072      
Loan Agreement [Member] | November 23, 2021 [Member] | SOFINEX [Member] | Long-term Debt [Member]          
Maturity Date   June 2025 June 2025    
Fixed Interest Rate   5.00%   5.00%  
Loan Agreement Term   3 years 3 years    
Total Long-term Debt   $ 470,958      
Agreement Under Amount | €     € 450,000    
Loan Agreement [Member] | February 5, 2022 [Member] | Long-term Debt [Member] | First Insurance Funding [Member]          
Maturity Date   November 2022 November 2022    
Fixed Interest Rate   3.57%   3.57%  
Repayment Of Long-term Loan Amount   $ 620,549      
Loan Agreement Term   9 years 9 years    
Total Long-term Debt   $ 344,749      
Bioinformatic Analytics Of Cell Free DNA [Member] | On September 16, 2020 [Member]          
Repayment Of Long-term Loan Amount | €     € 54,879    
Total Long-term Debt   100,236      
Additional Cost Of Company   46,170      
Research Co-operation Agreement [Member] | In 2016 [Member] | DKFZ [Member]          
Collaborative Obligations Amount Due   $ 209,315      
Lease Agreement Expire Period   five-year five-year    
Collaborative Obligations Amount | €       € 400,000  
Clinical Study Research Agreement [Member] | In 2018 [Member] | University of Taiwan [Member]          
Collaborative Obligations Amount Due   $ 510,000      
Lease Agreement Expire Period   three-year three-year    
Collaborative Obligations Amount   $ 25,500      
Operating Lease Right of Use Obligations [Member]          
Operating Lease Liabilities   $ 793,617      
Weighted Average Discount Rate   2.43%   2.43%  
Payment Of Lease Liabilities   $ 102,424      
Operating Lease Expense   $ 120,733      
Namur Innovation and Growth [Member] | Loan Agreement [Member] | In 2018 [Member] | Long-term Debt [Member]          
Maturity Date   June 2022 June 2022    
Fixed Interest Rate   4.00%   4.00%  
Repayment Of Long-term Loan Amount | €     € 500,000    
Loan Agreement Term   4 years 4 years