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Debt (Details Narrative) - USD ($)
1 Months Ended 3 Months Ended 12 Months Ended
Jun. 15, 2021
Apr. 22, 2021
Oct. 02, 2020
Jul. 21, 2020
Jul. 21, 2020
Jun. 30, 2020
May 05, 2020
Jan. 31, 2021
Mar. 31, 2020
Dec. 31, 2020
Dec. 31, 2019
Jan. 30, 2021
Jan. 20, 2021
Jul. 31, 2020
Jun. 05, 2020
Repayment of note payable                   $ 16,000,000 $ 10,200,000        
Cash and cash equivalents                   1,300,000 5,500,000        
Assets                   25,400,000 76,400,000        
Loan aggregate amount                   400,000        
Demand Note 6 [Member] | Sport-BLX Securities, Inc [Member]                              
Debt interest bear percentage           8.00%                  
Debt maturity date           Jul. 01, 2021                  
Debt instrument face amount           $ 213,793       $ 213,793          
Orix PTP Holdings, LLC [Member]                              
Debt interest bear percentage                 5.00%            
Debt maturity date                 Sep. 18, 2021            
Notes payable                 $ 16,000,000            
Sale of stock, total consideration     $ 17,562,700                        
Prior Orix PTP Holdings, LLC [Member]                              
Debt interest bear percentage       7.50% 7.50%                    
Adara Enterprises Corp [Member] | Subsequent Event [Member]                              
Sale of stock, total consideration               $ 8,500,000              
Clinton Special Opportunities Fund LLC [Member] | Demand Note 4 [Member]                              
Debt interest bear percentage           8.00%                  
Debt maturity date           Jul. 01, 2021                  
Debt instrument face amount           $ 150,000                  
Lender [Member] | Paycheck Protection Program [Member]                              
Debt interest bear percentage             1.00%                
Debt maturity date             Mar. 27, 2020                
Loan aggregate amount             $ 374,065                
Debt maturity date description             April 30, 2020, issued to the Lender, matures on April 30, 2022 and bears interest at a rate of 1.00% per annum, payable monthly commencing on November 30, 2020.                
Other related parties notes payable             $ 20,000                
Stock Purchase Agreement [Member]                              
Debt interest bear percentage                   5.00%          
Debt maturity date                   Dec. 12, 2022          
Credit Facility Letter Agreement [Member]                              
Debt instrument face amount                           $ 500,000  
Credit Facility Letter Agreement [Member] | Clinton Special Opportunities Fund LLC [Member]                              
Accrued interest rate                   $ 508,000          
Security Termination Agreement [Member]                              
Accrued interest rate       $ 171,112 $ 171,112                    
Notes payable       13,000,000 13,000,000                    
Repayment of note payable         16,000                    
Accrued interest         171,112                    
Loan Security Agreement [Member] | ESW Holdings [Member]                              
Accrued interest rate                         $ 1,100,000    
Sales of stock transaction       $ 11,000,000                      
Cash and cash equivalents                   500,000          
Insolvency obligations                   100,000          
Incurring judgments settlements                   100,000          
Assets                   $ 8,500,000          
Subscription Agreement [Member] | ESW Holdings [Member]                              
Stock outstanding                   30.00%          
Purchased shares                   100          
Purchase price                   $ 25,000          
Preferred Stock liquidation preference                   $ 1,500          
Subscription Agreement [Member] | Mr. De Perio [Member]                              
Equity percentage                             28.10%
ESW Loan Agreement [Member] | Subsequent Event [Member]                              
Stock outstanding                       30.00%      
Sale of stock, total consideration $ 8,500,000 $ 8,500,000                          
Equity percentage 50.00% 50.00%                          
Debt instrument face amount                       $ 11,000,000      
ESW Loan Agreement [Member] | Adara Enterprises Corp [Member]                              
Debt maturity date       Jan. 20, 2021                      
Debt instrument face amount       $ 11,000,000 $ 11,000,000                    
ESW Loan Agreement [Member] | Adara Enterprises Corp [Member] | Subsequent Event [Member]                              
Sale of stock, total consideration   $ 325,000                          
Debt instrument face amount               $ 11,000,000              
ESW Loan Agreement [Member] | ESW Capital LLC [Member] | Subsequent Event [Member]                              
Equity percentage 50.00% 50.00%                          
Sport BLX Borrowed [Member] | Demand Note 4 [Member]                              
Debt instrument face amount                   $ 150,000          
Sport BLX Borrowed [Member] | Mr. De Perio [Member] | Demand Note 5 [Member]                              
Debt interest bear percentage           8.00%                  
Debt maturity date           Jul. 01, 2021                  
Debt instrument face amount           $ 40,000                  
Sport BLX Borrowed Demand [Member] | Demand Note 5 [Member]                              
Debt instrument face amount                   $ 40,000