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Condensed Consolidated Statements of Operations (Unaudited) - USD ($)
3 Months Ended 9 Months Ended
Mar. 31, 2020
Mar. 31, 2019
Mar. 31, 2020
Mar. 31, 2019
Revenues        
Total Revenues $ 349,247 $ 348,723 $ 1,850,673 $ 1,717,353
Cost of Sales        
Total Cost of Sales 130,614 285,148 1,116,398 1,165,711
Gross Profit 218,633 63,575 734,275 551,642
General and Administrative Expenses        
Stock compensation and stock issued for services 48,034 2,055,726
Asset imparment expense (Note 1) 2,000,287 2,000,287
General and administrative 1,662,359 2,043,181 4,263,887 4,408,951
Loss from Operations (3,492,047) (1,979,606) (7,585,625) (3,857,309)
Other Income (Expense)        
Other income 97,471 3,049 151,289
Expenses related to convertible notes payable:        
Change in fair value of derivative liability 695,300 2,717,557
Interest accretion (603,852) (1,412,705)
Interest expense (1,860,498) (100,893) (3,822,927) (163,258)
Total Other Income (Expense) (1,769,050) (3,422) (2,515,026) (11,969)
Net Loss before Income Taxes (5,261,097) (1,983,028) (10,100,651) (3,869,278)
Income taxes (Note 9)
Net Loss $ (5,261,097) $ (1,983,028) $ (10,100,651) $ (3,869,278)
Net Basic and Fully Diluted Loss Per Share $ (0.15) $ (0.20) $ (0.47) $ (0.42)
Weighted average common shares outstanding        
Basic 35,520,434 10,105,121 21,547,126 9,154,161
Fully diluted 585,972,958 10,105,121 339,856,357 9,154,161
Technology interactive panels and related products [Member]        
Revenues        
Total Revenues $ 345,956 $ 261,712 $ 1,837,354 $ 1,106,540
Cost of Sales        
Total Cost of Sales 130,614 230,833 1,116,398 948,073
Entertainment theater ticket sales and concessions [Member]        
Revenues        
Total Revenues 78,661 589,705
Cost of Sales        
Total Cost of Sales 54,315 217,638
Technology office supplies [Member]        
Revenues        
Total Revenues $ 3,291 $ 8,350 $ 13,319 $ 21,108