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Supplemental Disclosure of Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2019
Supplemental Cash Flow Elements [Abstract]  
Schedule of Supplemental Cash Flow Information
    Year Ended December 31,  
    2019     2018  
Cash paid for interest   $ -     $ 313,918  
Cash paid for income taxes   $ 45,000     $ 23,362  
                 
Acquisitions of Hospitals and Medical Centers:                
Cash   $ -     $ 375  
Inventory     317,427       450,682  
Prepaid and other current assets     -       310,385  
Property and equipments     500,000       7,129,484  
Intangible assets     250,000       504,806  
Accrued expenses     158,890       (193,966 )
                 
Non-cash investing and financing activities:                
Common stock issued for conversion of Series I-2 Preferred Stock     1,268,972       1,513,105  
Exchange of debentures for Series I-2 Preferred Stock     -       1,420  
Series J Preferred Stock issued in exchange for notes payable and accrued expenses     -       250,000  
Issuance of Series K Preferred Stock     2,500       -  
Exchange of Series J Preferred Stock for Series K Preferred Stock     (2,500 )     -  
Common stock issued in cashless exercise of warrants     11,962       4,619,150  
Conversion of Series H Preferred Stock     -       50,000  
Debentures converted into common stock     -       8,128,044  
Original issue discounts of debentures and notes payable     400,000       2,160,000  
Deemed dividend for trigger of down round provision feature     123,861,587       231,843,826