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Consolidated Statements Of Stockholder's Deficit - USD ($)
Total
Class B Preferred Stock
Common Stock [Member]
Additional Paid-In Capital
Retained Earnings (Accumulated Deficit)
Balance, shares at Dec. 31, 2018   200,000 21,144,593    
Balance, amount at Dec. 31, 2018 $ (1,666,786) $ 200 $ 21,145 $ 29,335,171 $ (31,023,302)
Common stock issued for cash, shares     190,000    
Common stock issued for cash, amount 43,500   $ 190 43,310  
Common stock issued for consulting services, shares   1,100,000    
Common stock issued for consulting services, amount 133,200 $ 0 $ 1,100 132,100  
Common stock issued for settlement of a convertible note, shares   70,588    
Common stock issued for settlement of a convertible note, amount 5,647 $ 0 $ 71 5,576  
Common stock issued for repayment of related party loan, shares   50,000    
Common stock issued for repayment of related party loan, amount 12,500 $ 0 $ 50 12,450  
Common stock issued for extension of note, shares   6,072,221    
Common stock issued for extension of note, amount 174,782 $ 0 $ 6,072 168,710  
Debt discount - Convertible promissory note and warrants, shares   6,400,000    
Debt discount - Convertible promissory note and warrants, amount 6,400 $ 0 $ 6,400    
Acquisition of assets from related party 0 0      
Options issued for consulting services 83,574 $ 0 $ 0 83,574 0
Net Loss (1,662,123)       (1,662,123)
Balance, shares at Dec. 31, 2019   200,000 35,027,402    
Balance, amount at Dec. 31, 2019 (2,869,306) $ 200 $ 35,028 29,780,891 (32,685,425)
Common stock issued for cash, shares     700,000    
Net Loss (1,135,868)       (1,135,868)
Conversion of notes payable, shares     1,217,812,182    
Conversion of notes payable, amount 1,222,544   $ 1,217,811 4,733  
Issuance of common for services, amount 4,550   $ 700 3,850  
Cancellation of shares, shares     (300,000)    
Cancellation of shares, amount 0   $ (300) 300  
Balance, shares at Dec. 31, 2020   200,000 1,253,239,584    
Balance, amount at Dec. 31, 2020 $ (2,778,080) $ 200 $ 1,253,239 $ 29,789,774 $ (33,821,293)