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Note payable (Details Narrative) - USD ($)
Feb. 07, 2020
Jun. 30, 2022
Dec. 31, 2021
Note Payable Principle Amount   $ 610,046 $ 597,229
Tranche 1 [Member]      
Purchase Shares Of Common Stock 1,200,000    
Exercise Price $ 0.57    
Trading Price Per Share $ 1.40    
Tranche 2 [Member]      
Purchase Shares Of Common Stock 900,000    
Exercise Price $ 0.72    
Trading Price Per Share $ 1.50    
Tranche 3 [Member]      
Purchase Shares Of Common Stock 150,000    
Exercise Price $ 0.97    
Secured Promissory Note [Member]      
Purchase Shares Of Common Stock 2,250,000    
Note Payable Principle Amount $ 33,333    
Bank Loan 8,000,000.0    
Original Amount 6,100,000    
Repayments Of Senior Debt 4,200,000    
Convertible Debt $ 1,275,000    
Interest Rate Per Annum 3.00%    
Interest Rate 7.75%    
Maturity Date Feb. 07, 2025