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Debt Agreements (Details) - USD ($)
1 Months Ended 9 Months Ended
Jul. 06, 2020
Apr. 29, 2020
Feb. 26, 2020
Sep. 30, 2020
Aug. 11, 2020
Aug. 05, 2020
Dec. 31, 2019
Nov. 07, 2019
Aug. 31, 2016
Amount Outstanding       $ 500,000         $ 50,000
Interest rate           5.00%   133.00% 7.90%
Total long-term debt       17,113,336     $ 10,138,496   $ 18,980
Less unamortized discounts and debt issuance costs       (3,990,019)     (4,749,004)    
Total long-term debt, less discounts and debt issuance costs       13,123,317     5,389,492    
Less current portion of long-term debt       (13,123,317)     (5,389,492)    
Debt classified as long-term debt              
Secured note payable One [Member]                  
Maturity Date [1]       Feb. 28, 2020          
Amount Outstanding [1]       $ 788,709     $ 788,709    
Interest rate [1]       12.50%     8.50%    
Secured note payable Two [Member]                  
Maturity Date [1]       Mar. 01, 2022          
Amount Outstanding [1]       $ 186,709     $ 224,288    
Interest rate [1]       9.00%     9.00%    
Secured note payable Three [Member]                  
Maturity Date [1]       Sep. 01, 2021          
Amount Outstanding [1]       $ 18,980     $ 21,571    
Interest rate [1]       7.90%     7.90%    
Secured note payable Four [Member]                  
Maturity Date       Nov. 26, 2021          
Amount Outstanding       $ 2,000,000     $ 2,000,000    
Interest rate       9.00%     9.00%    
Secured note payable Five [Member]                  
Maturity Date       Dec. 26, 2020          
Amount Outstanding       $ 211,667        
Interest rate       78.99%        
Secured note payable Six [Member]                  
Maturity Date     Dec. 26, 2020 Sep. 15, 2020 [1]          
Amount Outstanding     $ 600,000 $ 855,120 [1]     [1]    
Interest rate     78.99% 36.00% [1]     [1]    
Total long-term debt     $ 211,667            
Secured Notes Payable Seven [Member]                  
Maturity Date [1]       Oct. 15, 2020          
Amount Outstanding [1]       $ 2,007,971        
Interest rate [1]       5.00%        
Secured Notes Payable [Member]                  
Amount Outstanding       $ 6,069,156     $ 3,034,568    
Equipment financing loan [Member]                  
Maturity Date       Sep. 15, 2020          
Amount Outstanding           $ 3,828    
Interest rate           8.80%    
Note payable [Member]                  
Maturity Date       Jul. 09, 2019          
Amount Outstanding           $ 200,000    
Interest rate           18.00%    
Note payable one [Member]                  
Maturity Date       Sep. 01, 2019          
Amount Outstanding           $ 200,000    
Interest rate           18.00%    
Note payable Two [Member]                  
Maturity Date [1]       Sep. 30, 2020          
Amount Outstanding [1]       $ 500,000     $ 500,000    
Interest rate [1]       10.00%     10.00%    
Note payable Three [Member]                  
Maturity Date [1]       Sep. 30, 2020          
Amount Outstanding [1]       $ 175,000     $ 175,000    
Interest rate [1]       10.00%     10.00%    
Note payable Four [Member]                  
Maturity Date [1]       Aug. 31, 2020          
Amount Outstanding [1]       $ 3,500,000     $ 5,000,000    
Interest rate [1]       12.00%     10.00%    
Note payable Five [Member]                  
Maturity Date       Jul. 09, 2019          
Amount Outstanding           $ 200,000    
Interest rate           18.00%    
Note payable Six [Member]                  
Maturity Date [1]       Dec. 06, 2019          
Amount Outstanding [1]       $ 66,700     $ 450,100    
Interest rate [1]       500.00%     18.00%    
Notes payable Seven [Member]                  
Maturity Date       Nov. 30, 2020          
Amount Outstanding       $ 500,000        
Interest rate       0.00%        
Notes payable Eight [Member]                  
Maturity Date [1]       Jun. 30, 2020          
Amount Outstanding [1]       $ 379,588        
Interest rate [1]       0.00%        
Note payable Nine [Member]                  
Maturity Date [1]       Jun. 30, 2020          
Amount Outstanding [1]       $ 165,986        
Interest rate [1]       0.00%        
Note payable Ten [Member]                  
Maturity Date [1]       Feb. 16, 2023          
Amount Outstanding [1]       $ 83,309        
Interest rate [1]       3.00%        
Equipment financing loan One [Member]                  
Maturity Date [1]       Nov. 09, 2023          
Amount Outstanding [1]       $ 61,287        
Interest rate [1]       8.50%        
Equipment financing loan Two [Member]                  
Maturity Date [1]       Dec. 19, 2023          
Amount Outstanding [1]       $ 89,912        
Interest rate [1]       6.70%        
Equipment financing loan Three [Member]                  
Maturity Date [1]       Jan. 17, 2024          
Amount Outstanding [1]       $ 41,390        
Interest rate [1]       6.70%        
Total notes payable [Member]                  
Amount Outstanding       $ 7,636,043     $ 6,728,928    
Senior convertible debenture One [Member]                  
Maturity Date       Dec. 31, 2019          
Amount Outstanding           $ 25,000    
Interest rate           15.00%    
Senior convertible debenture [Member]                  
Maturity Date       Dec. 31, 2019          
Amount Outstanding             $ 100,000    
Interest rate             15.00%    
Senior convertible debenture Two [Member]                  
Maturity Date       Dec. 31, 2021          
Amount Outstanding       $ 250,000     $ 250,000    
Interest rate       10.00%     10.00%    
Total senior convertible debenture [Member]                  
Amount Outstanding       $ 1,250,000     $ 275,000    
PPP loans [Member]                  
Maturity Date May 14, 2022                
Amount Outstanding $ 24,028     $ 455,184 $ 103,659        
Interest rate 1.00%     1.00% 1.00%        
Total long-term debt       $ 455,184 $ 103,659        
PPP loans [Member] | Minimum [Member]                  
Maturity Date       Apr. 30, 2022          
PPP loans [Member] | Maximum [Member]                  
Maturity Date       May 26, 2022          
PPP Loans One [Member]                  
Maturity Date       May 14, 2022          
Amount Outstanding       $ 24,028          
Interest rate       1.00%          
PPP Loans Two [Member]                  
Maturity Date       Aug. 11, 2025          
Amount Outstanding       $ 103,659          
Interest rate       1.00%          
Note payable Fourteen [Member]                  
Maturity Date [1]       Sep. 30, 2020          
Amount Outstanding [1]       $ 290,000          
Interest rate [1]       0.00%          
Senior debenture One [Member]                  
Maturity Date       Dec. 31, 2019          
Amount Outstanding [1]       $ 84,000     $ 100,000    
Interest rate [1]       15.00%     15.00%    
Total senior debentures [Member]                  
Amount Outstanding       $ 84,000     $ 100,000    
Convertible note payable [Member]                  
Amount Outstanding [1]       $ 374,137          
Interest rate [1]       24.00%          
Convertible note payable [Member]                  
Maturity Date   Jan. 29, 2021   Jan. 29, 2021 [1]          
Amount Outstanding   $ 285,714              
Interest rate   12.50%              
Total Convertible note payable [Member]                  
Amount Outstanding       $ 2,074,137        
Note payable Eleven [Member]                  
Amount Outstanding                
Interest rate                
Note payable Fifteen [Member]                  
Amount Outstanding [1]       $ 1,200,000          
Note payable Fifteen [Member] | Minimum [Member]                  
Maturity Date [1]       Oct. 13, 2020          
Interest rate [1]       15.00%          
Note payable Fifteen [Member] | Maximum [Member]                  
Maturity Date [1]       Nov. 30, 2020          
Interest rate [1]       18.00%          
Convertible note payable One [Member]                  
Maturity Date       Nov. 20, 2020          
Amount Outstanding       $ 1,700,000          
Interest rate       5.00%          
Senior convertible debenture Three [Member]                  
Maturity Date       Nov. 30, 2020          
Amount Outstanding       $ 1,000,000          
Interest rate       9.00%          
[1] Note is in default. Refer to further discussion below.