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LONG-TERM OBLIGATIONS (Details Narrative) - USD ($)
12 Months Ended
May 07, 2019
Mar. 14, 2016
Feb. 12, 2015
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2004
Dec. 31, 2003
Jan. 31, 2022
Jan. 01, 2022
Jan. 01, 2021
Sep. 15, 2018
Jan. 31, 2018
Sep. 21, 2017
Jul. 18, 2017
Oct. 17, 2011
Note Payable       $ 383,824                        
Aggregate Purchase Price                 $ 8,500,000              
Conversion Price       $ 7.50                        
2016 note payable, 6%, unsecured, due December 31, 2021 [Member]                                
Obligation Amount   $ 500,000                            
Balance Amount       $ 500,000 $ 493,445                      
Lender Fee Payment Share   2,500,000                            
Lender Fee Payment   $ 37,500                            
Bears Interest Rate   6.00%                            
Note Payable   $ 467,225                            
Principal Due Amount   500,000                            
Deferred Financing Costs   32,775                            
Note payable, 10%, secured, due January 1, 2018 [Member]                                
Bears Interest Rate                         10.00%      
Aggregate Purchase Price       $ 175,000                        
Issued Secured Notes Payable             $ 265,000 $ 265,000                
Convertible term note payable, 12%, secured, due January 1, 2024 [Member]                                
Bears Interest Rate       12.00%                        
Principal Due Amount $ 500,000                              
Conversion Price       $ 18.75                        
Term note payable - PBGC, 6%, secured [Member]                                
Gain On Notes                               $ 120,500
Accrued Interest       $ 74,500                        
Balloon Payment Due                       $ 219,000        
Settled Long-term Debt Agreement       200,000                        
Aggregate Purchase Price                               300,000
2020 note payable, 6%, unsecured, due August 24, 2024 [Member]                                
Lender Fee Payment       166,473                        
Principal Due Amount       $ 550,000                        
Convertible term note payable, 7%, secured, due January 1, 2024 [Member]                                
Bears Interest Rate       7.00%                        
Note Payable   $ 467,225                            
Common Stock, Share Price       $ 7.5                        
Convertible notes payable, 6%, due January 1, 2024 [Member]                                
Bears Interest Rate       6.00% 6.00%                      
Common Stock, Share Price       $ 3.75                        
Exercisable Per Share       $ 7.50                        
Note Payable To Former Related Party       $ 9,000                        
Issue Borrower       334                        
Interes Rate Effective                   6.00% 6.00%          
Note payable of up to $500,000, 7.5%, due August 31, 2026 [Member]                                
Bears Interest Rate 7.50%     6.00%                        
Note Payable $ 500,000                              
Principal Due Amount       $ 249,000 $ 50,000 $ 200,000                    
Balloon Payment Due                               $ 219,000
2020 Note payable, 6%, due January 1, 2024 [Member]                                
Principal Due Amount         100,000                      
Balloon Payment Due         $ 128,000                      
Convertible notes payable, 6% [Member]                                
Bears Interest Rate       6.00%                        
Common Stock, Share Price       $ 3.75                        
Note Payable To Former Related Party       $ 146,300                        
Interes Rate Effective       6.00%             6.00%          
Convertible note payable, 7%, due June 30, 2023 [Member]                                
Principal Due Amount     $ 25,000                          
Common Stock, Share Price     $ 0.10 $ 7.50                        
Note payable, $75,000 line of credit, 6%, unsecured [Member]                                
Bears Interest Rate                             6.00%  
Common Stock, Shares Purchased                             5,334  
Common Stock, Share Price     0.10                       $ 3.00  
Working Capital                             $ 100,000  
Note payable, $75,000 line of credit, 6%, unsecured [Member]                                
Bears Interest Rate                           6.00%    
Common Stock, Shares Purchased                           5,334    
Common Stock, Share Price     $ 0.10                     $ 3.00    
Working Capital                           $ 75,000