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NOTES PAYABLE (Details Narrative) - USD ($)
1 Months Ended 12 Months Ended
Jul. 09, 2020
Dec. 24, 2019
Sep. 24, 2019
Sep. 17, 2019
Sep. 13, 2019
Jul. 22, 2019
Sep. 06, 2018
Aug. 16, 2018
May 30, 2018
Apr. 05, 2018
Jun. 24, 2020
Dec. 31, 2020
Dec. 31, 2019
Apr. 30, 2020
Dec. 23, 2019
Repayments of principal amount with accrued interest                       $ 347,663 $ 396,832    
Note payable, less current portion                       363,562    
Paypal Note [Member]                              
Notes payable                       21,797 41,435    
Agreement transaction description     The Company entered not a working capital account agreement with Paypal Working Capital ("Paypal Note"), pursuant to which the Company borrowed $37,000, requiring repayment in amounts equal to 30% of sales collections processed through Paypal, but no less than $4,143, every 90 days, until the total amount of payments equals $41,430.                        
A&R Note [Member]                              
Debt principal amount             $ 582,260                
Debt interest rate             7.00%                
Debt due date             Sep. 06, 2021                
Notes payable             $ 82,260                
Debt description             The terms of the A&R Note, the Company agreed to pay HCMC 155 weekly payments of $4,141, commencing on September 14, 2018 and ending on September 14, 2021, and a balloon payment for all remaining accrued interest and principal in the 156th week. The Company at its option has the right, by giving 15 business days' advance notice to HCMC, to prepay a portion or all amounts outstanding under the A&R Note without penalty or premium.                
PPP loan [Member]                              
Debt interest rate                           1.00%  
Loan amount                           $ 203,662  
Note payable, less current portion                       203,662      
Economic Injury Disaster Loan [Member]                              
Loan amount $ 159,900                   $ 159,900 159,900      
Accrues interest 3.75%                   3.75%        
Installment amount of loan $ 731                   $ 731        
Kabbage, Inc [Member] | Kabbage Note [Member]                              
Debt principal amount       $ 100,000                      
Debt interest rate       37.00%                      
Repayments of principal amount with accrued interest   $ 2,349   $ 10,083                      
Debt due date   Dec. 30, 2020   Sep. 30, 2020                      
Notes payable                       49,551 84,089    
Kabbage, Inc [Member] | Kabbage Note #2 [Member]                              
Debt principal amount                             $ 23,300
Debt interest rate                             37.00%
Notes payable                       0 23,300    
BlueVine Capital, Inc [Member] | BlueVine Note [Member]                              
Debt principal amount         $ 95,000                    
Debt interest rate         27.00%                    
Repayments of principal amount with accrued interest         $ 4,062                    
Debt due date         Jul. 13, 2025                    
Notes payable                       42,605      
Lendistry, LLC [Member] | Lendistry Note [Member]                              
Debt principal amount           $ 250,000                  
Debt interest rate           24.00%                  
Repayments of principal amount with accrued interest           $ 1,240                  
Debt due date           Jul. 25, 2025                  
Notes payable                       25,393 214,340    
Cedit card sales percentage           11.00%                  
Sunshine Travel, Inc [Member] | August 2018 Sunshine Note [Member]                              
Debt principal amount               $ 100,001              
Debt interest rate               24.00%              
Repayments of principal amount with accrued interest               $ 500              
Debt due date               Aug. 16, 2019              
Sunshine Travel, Inc [Member] | May 2018 Sunshine Note [Member]                              
Debt principal amount                 $ 100,001            
Debt interest rate                 24.00%            
Repayments of principal amount with accrued interest                 $ 500            
Debt due date                 May 30, 2019            
Surplus Depot Inc [Member] | Surplus Note [Member]                              
Debt principal amount                   $ 100,001          
Debt interest rate                   24.00%          
Repayments of principal amount with accrued interest                   $ 500          
Debt due date                   Apr. 05, 2019          
Healthier Choices Management Corp [Member] | A&R Note [Member]                              
Loan amount             $ 500,000                
Notes payable                       $ 304,391 $ 343,387