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Statements of Cash Flows - USD ($)
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Statements of Cash Flows    
Net Loss $ (3,888,661) $ (1,450,623)
Adjustments To Reconcile Net Loss To Net Cash Used In Operating Activities:    
Depreciation And Amortization 2,044,447 14,698
Share-based Compensation Expense (10,683) 374,337
Stock Issued For Compensation 160,978 150,440
Loss On Disposal Of Property, Plant And Equipment 2,223 0
Changes In Operating Assets And Liabilities:    
Inventory 3,024 1,107
Prepaid Expense And Other Current Assets (415,054) (19,020)
Accounts Payable And Accrued Expenses 794,174 429,510
Contract Liabilities 59,575 0
Net Cash Used In Operating Activities (1,249,977) (499,551)
Cash Flows From Investing Activities :    
Patent Purchases 0 (7,243)
Acquisition Of Property, Plant And Equipment (143,792) 0
Increase In Refundable Deposits And Others (36,725) 0
Net Cash Used In Investing Activities (180,517) (7,243)
Cash Flows From Financing Activities :    
Proceeds From Convertible Note Payable - Related Party 3,106,025 120,000
Payments Of Other Note Payable (4,605) 0
Proceeds From Exercise Of Stock Options 64,752 0
Payments Of Lease Liabilities (11,799) 0
Net Cash Provided By Financing Activities 3,154,373 120,000
Effect From Foreign Currency Exchange 5,375 0
Net Change In Cash 1,723,879 (386,794)
Cash And Cash Equivalents At End Of Period 1,751,499 22,245
Cash And Cash Equivalents At Beginning Of Period 22,245 409,039
Supplemental Disclosures Of Noncash Financing And Investing Activities:    
Cash Paid For Interest 19,380 855
Stock Issued For Subscription 0 100,000
Stock Issued For Patent Cost And Accrued Liabilities 0 144,250
Conversion Of Convertible Notes And Accrued Interest Into Common Stock 476,329 0
Rou Leased Assets 62,903 0
Acquisition Of Intangible Assets And Equipment 40,226,870 0
Decrease Of Additional Paid In Capital 5,773,130 0
Issuance Of Common Stock And Increase Of Current Liability $ 46,000,000 $ 0