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Convertible Debt - 2018 Convertible Notes (Details Narrative) - USD ($)
1 Months Ended 9 Months Ended 12 Months Ended
May 24, 2018
May 08, 2018
May 04, 2018
Jun. 22, 2018
Sep. 30, 2017
Dec. 31, 2018
Dec. 31, 2017
Jul. 05, 2018
Initial debt discount           $ 217,293 $ 494,193  
Loss on debt settlement recorded         $ (114,781) (58,759) $ (17,916)  
Power Up Purchase Agreement 2018 (1)                
Convertible Promissory Note issued, amount     $ 78,000          
Net proceeds received     $ 75,000          
Debt discounts recorded           74,759    
Maturity date     Feb. 28, 2019          
Conversion of note, principal converted           78,000    
Conversion of note, accrued and unpaid interest converted           $ 4,680    
Conversion price           $ .6033    
Conversion of note, shares issued           137,057    
Principal and interest balance              
Interest rate per annum     12.00%          
Amortization expense on debt discounts recorded           74,759    
L2 Securities Purchase Agreement 2018 (1)                
Convertible Promissory Note issued, amount   $ 565,555            
Net proceeds received $ 100,000         350,000    
Convertible note payable recorded 121,111         388,885    
Debt discounts recorded 121,111              
Principal and interest balance           524,565    
Interest rate per annum   9.00%            
Initial debt discount           393,885    
Initial derivative liability expense           88,201    
Initial Derivative Liability           482,086    
Amortization expense on debt discounts recorded $ 121,111         176,591    
Unamortized debt discount remaining           217,293    
Power Up Purchase Agreement 2018 (2)                
Convertible Promissory Note issued, amount       $ 53,000        
Net proceeds received       $ 50,000        
Debt discounts recorded           49,398    
Conversion of note, principal converted           53,000    
Conversion of note, accrued and unpaid interest converted           $ 3,204    
Conversion price           $ .3989    
Conversion of note, shares issued           140,883    
Principal and interest balance              
Interest rate per annum       12.00%        
Amortization expense on debt discounts recorded           49,398    
NPA RPN                
Convertible Promissory Note issued, amount               $ 1,101,698
Conversion of note, principal converted           $ 679,876    
Conversion price           $ .5516    
Conversion of note, shares issued           1,232,500    
Principal and interest balance           $ 521,133    
Amortization expense on debt discounts recorded           1,101,698    
2018 Convertible Notes                
Initial debt discount           2,130,851    
Initial derivative liability expense           397,343    
Initial Derivative Liability           2,528,194    
Amortization expense on debt discounts recorded           2,407,751    
Unamortized debt discount remaining           $ 217,293