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CONDENSED CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' DEFICIT (Unaudited) - USD ($)
Preferred Stock
Series A
Preferred Stock
Series B
Common Stock
Common StockTo Be Issued
Additional Paid-In Capital
Accumulated Deficit
Total
Beginning Balance, Value at Dec. 31, 2018 $ 350,573 $ 2,319 $ 13,109,751 $ (14,954,819) $ (1,492,176)
Beginning Balance, Shares at Dec. 31, 2018 7 60 3,518,252,964 23,192,857      
Common stock issued for cash, Value $ 34,607 327,243 361,850
Common stock issued for cash, Shares 346,066,667        
Stock issued to convert notes payable, Value $ 128 900 1,028
Stock issued to convert notes payable, Shares 1,284,938        
Beneficial conversion feature 10,500 10,500
Stock issued for services, Value $ 8,972 177,361 186,333
Stock issued for services, Shares 89,720,616        
Stock issued for financing cost, Value $ 500 7,000 7,500
Stock issued for financing cost, Shares 5,000,000        
Net Loss (360,386) (360,386)
Ending Balance, Value at Mar. 31, 2019 $ 394,780 $ 2,319 13,632,755 (15,315,205) (1,285,351)
Ending Balance, Shares at Mar. 31, 2019 7 60 3,960,325,185 23,192,857      
Beginning Balance, Value at Dec. 31, 2019 $ 474,863 $ 1,162 16,581,432 (17,263,984) (206,527)
Beginning Balance, Shares at Dec. 31, 2019 7 60 4,761,162,383 11,620,000      
Common stock issued for cash, Value $ 890 51,610 52,500
Common stock issued for cash, Shares 8,900,000        
Reclass from common stock to be issued, Value $ 1,012 $ (1,012)
Reclass from common stock to be issued, Shares 10,120,000 (10,120,000)      
Stock issued to convert accrued interest on convertible notes payable, Value $ 3,978 80,108 84,086
Stock issued to convert accrued interest on convertible notes payable, Shares 39,781,082        
Beneficial conversion feature 51,000 51,000
Stock issued for services, Value $ 535 84,895 85,430
Stock issued for services, Shares 5,348,366        
Net Loss (742,644) (742,644)
Ending Balance, Value at Mar. 31, 2020 $ 481,278 $ 150 $ 16,849,045 $ (18,006,628) $ (676,155)
Ending Balance, Shares at Mar. 31, 2020 7 60 4,825,311,831 1,500,000