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Subsequent Events (Details) - USD ($)
12 Months Ended
Dec. 31, 2019
Dec. 31, 2018
Principal Amount $ 886,900  
Warrants Issued 408,333  
Debt discount $ 185,163 $ 77,585
Convertible notes payable [Member]    
Principal Amount 236,600  
Net Received $ 209,500  
Warrants Issued 72,000  
Amortization of Warrants $ 16,002  
Debt discount $ 31,000  
Convertible notes payable [Member] | EMA Financial [Member]    
Debtor EMA Financial  
Date of Issuance Jan. 10, 2020  
Maturity Date Jan. 10, 2021  
Principal Amount $ 125,000  
Net Received $ 109,500  
Interest 4.00%  
Warrants Issued 50,000  
Term 5 years  
Exercise Price $ 2.00  
Amortization of Warrants $ 5,948  
Debt discount $ 15,500  
Convertible notes payable [Member] | Crown Bridge [Member]    
Debtor Crown Bridge  
Date of Issuance Feb. 20, 2020  
Maturity Date Feb. 20, 2021  
Principal Amount $ 55,000  
Net Received $ 48,000  
Interest 4.00%  
Warrants Issued 22,000  
Term 5 years  
Exercise Price $ 2.00  
Amortization of Warrants $ 10,054  
Debt discount $ 7,000  
Convertible notes payable [Member] | PowerUp [Member]    
Debtor PowerUp  
Date of Issuance Feb. 19, 2020  
Maturity Date Feb. 19, 2021  
Principal Amount $ 56,600  
Net Received $ 52,000  
Interest 8.00%  
Warrants Issued  
Term  
Exercise Price  
Amortization of Warrants  
Debt discount $ 4,600