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7. Convertible Note Payable (Details Narrative) - USD ($)
1 Months Ended 2 Months Ended 3 Months Ended 7 Months Ended 8 Months Ended 9 Months Ended
Jan. 22, 2019
Jan. 22, 2018
Jan. 18, 2018
Mar. 07, 2019
Mar. 06, 2019
Sep. 30, 2019
Sep. 30, 2018
Aug. 02, 2019
Aug. 29, 2019
Sep. 30, 2019
Sep. 30, 2018
Dec. 31, 2018
Loss on extinguishment of debt           $ 0 $ 0     $ (221,232) $ 0  
Amortization of discount                   68,328 171,917  
Proceeds from convertible debt                   285,000 500,000  
SPA and Security Pledge [Member] | Two Investors [Member]                        
Debt issuance date         Mar. 06, 2019              
Convertible notes payable, face amount         $ 100,000              
Convertible debt balance           100,000       100,000    
Unamortized discount         $ 11,226 4,843       4,843    
Warrants issued         250,000              
Fair value of warrants issued         $ 12,646              
Interest Expense           3,025       6,838    
Amortization of discount           2,807       6,383    
Proceeds from convertible debt         $ 100,000              
Notes [Member]                        
Convertible debt balance           500,000       500,000   $ 500,000
Unamortized discount           17,069       17,069   $ 265,068
Interest Expense           15,123 15,123     44,877 41,260  
Amortization of discount           3,032 $ 63,014     50,724 $ 171,918  
Secured Debt [Member] | Securities Purchase Agreement [Member]                        
Debt issuance date Jan. 22, 2019                      
Convertible notes payable, face amount $ 55,000                      
Convertible debt balance           55,000       55,000    
Unamortized discount $ 3,039         953       953    
Warrants issued 36,667                      
Fair value of warrants issued $ 3,217                      
Amortization of discount           760       2,086    
Accrued interest           1,891       1,891    
Proceeds from convertible debt                   55,000    
Senior Secured Convertible Notes [Member] | Non-Public Offering [Member]                        
Debt issuance date       Mar. 07, 2019                
Convertible notes payable, face amount       $ 500,000                
Debt stated interest rate       12.00%                
Debt maturity date       Mar. 01, 2021                
Secured Convertible Note [Member] | Securities Purchase Agreement [Member]                        
Debt issuance date               Aug. 02, 2019        
Convertible notes payable, face amount               $ 125,000        
Debt stated interest rate               12.00%        
Debt maturity date               Aug. 02, 2021        
Convertible debt balance           100,000       100,000    
Unamortized discount           91,929       91,929    
Warrants issued               468,750        
Fair value of warrants issued               $ 21,076        
Interest Expense           1,652       1,652    
Amortization of discount           8,071       8,071    
Proceeds from convertible debt               $ 100,000        
Convertible Promissory Note [Member] | Securities Purchase Agreement [Member]                        
Debt issuance date                 Aug. 29, 2019      
Convertible notes payable, face amount                 $ 105,000      
Debt stated interest rate                 10.00%      
Convertible debt balance           35,000       35,000    
Unamortized discount           7,672     $ 3,078 7,672    
Warrants issued                 175,000      
Fair value of warrants issued                 $ 3,430      
Interest Expense           230            
Amortization of discount           $ 1,065       $ 1,065    
Offering [Member] | Security and Pledge Agreement [Member]                        
Debt issuance date   Jan. 22, 2018                    
Convertible notes payable, face amount   $ 500,000                    
Warrants issued   384,615                    
Fair value of warrants issued   $ 838,404                    
Offering [Member] | Notes [Member]                        
Debt issuance date     Jan. 18, 2018                  
Convertible notes payable, face amount     $ 1,000,000                  
Debt stated interest rate     12.00%                  
Conversion price per share     $ .65 $ 0.20                
Debt maturity date     Jan. 15, 2020 Mar. 01, 2021                
Unamortized discount       $ 23,956                
Warrant exercise price     $ 0.75 $ 0.30                
Warrant expiration date     Jan. 15, 2023 Mar. 06, 2024                
Fair value of warrants issued       $ 25,162                
Loss on extinguishment of debt       $ (221,232)