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CONSOLIDATED STATEMENTS OF CASH FLOWS (Restated) - USD ($)
3 Months Ended 6 Months Ended 12 Months Ended
Sep. 30, 2020
Jun. 30, 2020
Sep. 30, 2019
Jun. 30, 2019
Sep. 30, 2020
Sep. 30, 2019
Mar. 31, 2020
Mar. 31, 2019
Cover [Abstract]                
Net Loss $ (19,986,843) $ (13,634,062) $ (8,411,076) $ (3,451,489) $ (33,620,905) $ (11,862,565) $ 27,958,169 $ 42,036,100
Net Loss from Discontinued Operations         0 (761,768)    
Net Loss from Continuing Operations         33,620,905 12,624,333    
Depreciation, Depletion, Amortization and Accretion 2,837   3,592   5,132 7,834    
Bad Debt Expense         170,660 17,694    
Share based compensation         36,502 29,425    
Loss from Equity Method Investment         2,140,121 0    
Change in Fair Value of Derivative Liability         29,969,765 10,298,003    
Accounts Receivable         55,060 (7,213)    
Other Current Assets         155,053 234,145    
Accounts Payable and Accrued Expenses         (255,038) (406,688)    
Net Cash Used in Operating Activities from Continuing Operations         (1,343,650) (2,454,133)    
Net Cash Provided by Operating Activities from Discontinued Operations         0 (383,770)    
Net Cash Used in Operating Activities         (1,343,650) (2,837,903)    
Cash Paid for Subsidiary         0 (1,050,000)    
Cash Paid for Issuance of Notes Receivable         (4,200,000) 0    
Cash Received for Deposits         0 (31,534)    
Net Cash Used in Investing Activities from Continuing Operations         (4,200,000) (1,081,534)    
Cash Used in Investing Activities from Discontinued Operations         0 (70,440)    
Cash Used in Investing Activities         (4,200,000) (1,151,974)    
Cash Paid for Settlement of Series B Preferred Stock Warrants         0 (25,000)    
Proceeds from Issuance of Series C Preferred Stock         6,000,000 0    
Net Cash Provided by Financing Activities from Continuing Operations         6,000,000 (25,000)    
Cash Provided by Financing Activities from Discontinued Operations         0 454,210    
Cash Provided by Financing Activities         6,000,000 429,210    
Increase (Decrease) in Cash         456,350 (3,560,667)    
Cash at Beginning of the Year   $ 656,615   $ 7,778,723 656,615 7,778,723 7,778,723  
Cash at End of the Year $ 1,112,965   $ 4,218,056   $ 1,112,965 $ 4,218,056 $ 656,615 $ 7,778,723