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CONVERTIBLE NOTES PAYABLE AND NOTES PAYABLE (Tables)
3 Months Ended
Mar. 31, 2021
Debt Disclosure [Abstract]  
Schedule of Convertible Notes Payable

The following tables reflect the convertible notes payable at March 31, 2021 and December 31, 2020:

 

    Issue Date   Maturity
Date
  March 31,
2021
    December 31,
2020
    Rate   Conversion
Price
            Principal
Balance
    Principal
Balance
         
Convertible notes payable                            
    09/01/20   03/01/21   $ -     $ 45,000     6.00%   0.0030
Face value         -       45,000          
                                 
Less unamortized discounts         -       (13,425 )        
                                 
Balance convertible notes payable       $ -     $ 31,575          
                             
    Issue Date   Maturity
Date
  March 31,
2021
    December 31,
2020
    Rate   Conversion
Price
            Principal
Balance
    Principal
Balance
         
Convertible notes payable - related parties                  
    08/06/20   02/06/21   $ -     $ 25,200     6.00%   0.0035
    08/06/20   02/06/21     -       35,000     6.00%   0.0035
    08/14/20   02/14/21     -       50,400     6.00%   0.0035
Face value       -       110,600          
                                 
Less unamortized discounts       -       (24,431 )        
                                 
Balance convertible notes payable - related parties $ -     $ 86,169          

 

    Issue Date   Maturity
Date
  March 31,
2021
    December 31,
2020
    Rate   Conversion
Price
             Principal
Balance
    Principal
Balance
          
Convertible notes payable - in default
     08/28/09   11/01/09   $ 4,300     $ 4,300     10.00%   0.0150
    11/20/12   05/20/13     50,000       50,000     6.00%   0.0050
    01/19/13   07/30/13     5,000       5,000     6.00%   0.0040
    02/11/13   08/11/13     9,000       9,000     6.00%   0.0060
    09/25/13   03/25/14     10,000       10,000     6.00%   0.0125
    10/04/13   04/04/14     50,000       50,000     6.00%   0.0125
    10/30/13   10/30/14     50,000       50,000     6.00%   0.0125
    05/15/14   11/15/14     40,000       40,000     6.00%   0.0070
    10/13/14   04/13/15     -       -     6.00%   0.0050
    09/18/15   03/18/16     25,000       25,000     6.00%   0.0020
    04/04/16   10/04/16     10,000       10,000     6.00%   0.0010
    07/19/16   07/19/17     4,000       4,000     6.00%   0.0015
    08/24/16   02/24/17     -       -     6.00%   0.0010
    03/06/18   09/06/18     6,000       6,000     6.00%   0.0006
    02/06/18   11/07/18     6,000       6,000     6.00%   0.0006
    10/29/18   04/29/19     3,000       3,000     6.00%   0.0007
    01/03/19   07/03/19     1,000       1,000     6.00%   0.0010
    03/16/19   09/16/19     10,000       10,000     6.00%   0.0010
    09/04/19   03/04/20     25,000       25,000     6.00%   0.0030
    09/01/20   03/01/21     45,000       -     6.00%   0.0030
Balance convertible notes payable - in default   $ 353,300     $ 308,300          

 

    Issue Date   Maturity
Date
  March 31,
2021
    December 31,
2020
    Rate   Conversion
Price
            Principal
Balance
    Principal
Balance
         
Convertible notes payable - related parties, in default  
    01/09/09   01/09/10   $ 10,000     $ 10,000     10.00%   0.0150
    01/25/10   01/25/11     6,000       6,000     6.00%   0.0050
    01/18/12   07/18/12     50,000       50,000     8.00%   0.0040
    01/19/13   07/30/13     15,000       15,000     6.00%   0.0040
    07/26/13   01/26/14     10,000       10,000     6.00%   0.0100
    01/17/14   07/17/14     31,500       31,500     6.00%   0.0060
    05/27/14   11/27/14     7,000       7,000     6.00%   0.0070
    07/21/14   01/25/15     17,000       17,000     6.00%   0.0080
    10/16/14   04/16/15     21,000       21,000     6.00%   0.0045
    07/14/15   01/14/16     9,000       9,000     6.00%   0.0030
    01/12/16   07/12/16     5,000       5,000     6.00%   0.0020
    05/10/16   11/10/16     5,000       5,000     6.00%   0.0005
    05/10/16   11/10/16     5,000       5,000     6.00%   0.0005
    05/20/16   11/20/16     5,000       5,000     6.00%   0.0005
    07/12/16   01/12/17     2,400       2,400     6.00%   0.0006
    01/26/17   03/12/17     5,000       5,000     6.00%   0.0005
    02/14/17   08/14/17     25,000       25,000     6.00%   0.0008
    08/16/17   09/16/17     3,000       3,000     6.00%   0.0008
    03/14/18   05/14/18     25,000       25,000     6.00%   0.0007
    04/04/18   06/04/18     3,000       3,000     6.00%   0.0007
    04/11/18   06/11/18     25,000       25,000     6.00%   0.0007
    05/08/18   07/08/18     25,000       25,000     6.00%   0.0007
    05/30/18   08/30/18     25,000       25,000     6.00%   0.0007
    06/12/18   09/12/18     3,000       3,000     6.00%   0.0007
    06/20/18   09/12/18     500       500     6.00%   0.0007
    01/09/18   01/09/19     12,000       12,000     6.00%   0.0006
    08/27/18   02/27/19     2,000       2,000     6.00%   0.0007
    10/02/18   04/02/19     1,000       1,000     6.00%   0.0008
    10/23/18   04/23/19     4,200       4,200     6.00%   0.0007
    11/07/18   05/07/19     2,000       2,000     6.00%   0.0008
    11/14/18   05/14/19     8,000       8,000     6.00%   0.0008
    01/08/19   07/08/19     7,000       7,000     6.00%   0.0008
    04/25/19   12/23/19     20,000       20,000     6.00%   0.0040
    06/07/19   12/07/19     5,100       5,100     6.00%   0.0030
    09/17/19   04/17/20     12,000       12,000     6.00%   0.0030
    11/12/19   05/12/20     25,000       25,000     6.00%   0.0025
    11/26/19   05/26/20     25,200       25,200     6.00%   0.0030
    12/03/19   06/03/20     15,000       15,000     6.00%   0.0030
    01/07/20   06/20/20     51,000       51,000     6.00%   0.0030
    08/06/20   02/06/21     25,200       -     6.00%   0.0035
    08/06/20   02/06/21     35,000       -     6.00%   0.0035
    08/14/20   02/14/21     50,400       -     6.00%   0.0035
Balance convertible notes payable - related parties, in default   $ 638,500     $ 527,900          
                                 
Balance all convertible notes payable   $ 991,800     $ 953,944          
Schedule of Notes Payable

The following tables reflect the notes payable at March 31, 2021 and December 31, 2020:

 

    Issue Date   Maturity
Date
  March 31,
2021
    December 31,
2020
    Rate
            Principal
Balance
    Principal
Balance
     
Notes payable - in default                    
    04/27/11   04/27/12   $ 5,000     $ 5,000     6.00%
    12/14/17   12/14/18     20,000       20,000     6.00%
    11/29/17   11/29/19     105,000       105,000     2.06%
Balance notes payable - default   $ 130,000     $ 130,000      
                             
    Issue Date   Maturity
Date
  March 31,
2021
    December 31,
2020
    Rate
            Principal
Balance
    Principal
Balance
     
Notes payable - related parties, in default                    
    02/24/10   02/24/11   $ 7,500     $ 7,500     6.00%
    10/06/15   11/15/15     10,000       10,000     6.00%
    02/08/18   04/09/18     1,000       1,000     6.00%
Balance notes payable - related parties, in default   $ 18,500     $ 18,500      
                             
Balance all notes payable   $ 148,500     $ 148,500