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Supplemental Disclosure of Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2020
Supplemental Cash Flow Elements [Abstract]  
Schedule of Supplemental Cash Flow Information
    Year Ended December 31,  
    2020     2019  
Cash paid for interest   $ 64,454     $ -  
Cash paid for income taxes   $ -     $ 45,000  
                 
Acquisition of Jellico Community Hospital and CarePlus Center:                
Inventory   $ -     $ 317,427  
Property and equipment     -       500,000  
Intangible assets     -       250,000  
Accrued expenses     -       158,890  
                 
Non-cash investing and financing activities:                
Series I-2 Preferred Stock converted into common stock   $ 277,994     $ 1,268,972  
Issuance of Series M Preferred Stock in exchange for related party loans and accrued interest     22,000,000       -  
Loans and accrued interest exchanged for Series M Preferred Stock     18,849,632       -  
Issuance of Series N Preferred Stock in exchange for debentures, accrued interest and Series I-1 and Series I-2 Preferred Stock     30,435,519       -  
Debentures, accrued interest and Series I-1 and Series I-2 Preferred Stock exchanged for Series N Preferred Stock     19,342,322       -  
Series N Preferred Stock converted into common stock     1,001,000       -  
Deemed dividends from exchanges of debt for preferred stock     6,871,086       -  
Deemed dividends from down-round provisions of warrants and debentures     256,383,632       123,861,587  
Common stock issued in cashless exercise of warrants     -       11,962  
Exchange of Series K Preferred Stock for Series L Preferred Stock     2,500       -  
Issuance of Series L Preferred Stock     2,500       -  
Original issue discounts on debt     122,885       400,000