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Convertible Notes Payable (Details 1) - USD ($)
3 Months Ended
Mar. 31, 2021
Mar. 31, 2020
Convertible notes payable, at beginning $ 13,426,706  
Debt discount at beginning (47,671)  
Amortization of debt discounts 321,340 $ 1,126,767
Debt discount at end 0  
Convertible notes payable, at end 11,012,740  
Convertible Notes Payable 2 ("Power Up Lending Group Ltd") [Member]    
Convertible notes payable, at beginning 13,426,706  
Issued for cash 870,272  
Accrued interest added to convertible note 53,090  
Payment with marketable securities (300,000)  
Original issue discount 48,400 336,000
Conversion to common stock (3,116,668)  
Debt discount related to new convertible notes (290,400)  
Amortization of debt discounts 321,340 $ 1,079,096
Convertible notes payable, at end 11,012,740  
Convertible Notes Payable 2 ("Power Up Lending Group Ltd") [Member] | Principal [Member]    
Convertible notes payable, at beginning 13,788,710  
Issued for cash 870,272  
Accrued interest added to convertible note 53,090  
Payment with marketable securities (300,000)  
Original issue discount 48,400  
Conversion to common stock (3,116,668)  
Debt discount related to new convertible notes  
Amortization of debt discounts  
Convertible notes payable, at end 11,343,804  
Convertible Notes Payable 2 ("Power Up Lending Group Ltd") [Member] | Debt Discount [Member]    
Debt discount at beginning (362,004)  
Issued for cash  
Accrued interest added to convertible note  
Payment with marketable securities  
Original issue discount  
Conversion to common stock  
Debt discount related to new convertible notes (290,400)  
Amortization of debt discounts 321,340  
Debt discount at end $ (331,064)