XML 29 R18.htm IDEA: XBRL DOCUMENT v3.8.0.1
Convertible notes payable (Tables)
6 Months Ended
Sep. 30, 2017
Convertible Notes Payable Tables  
Summary of convertible notes payable
    September 30,
2017
    March 31,
2017
 
Principal balance   $ 1,808,473     $ 1,311,163  
Unamortized discount     (1,387,588 )     (39,436 )
Ending balance, net   $ 420,885     $ 1,271,727  
Summary of convertible notes and related dicounts
    Principal
Balance
    Debt
Discounts
    Total  
Balance at March 31, 2017   $ 1,311,163     $ (39,436 )   $ 1,271,727  
New issuances     1,858,273       (1,977,162 )     (118,889 )
Liquidated damages added to note     42,504       (42,144 )     360  
Conversions     (1,134,685 )     -       (1,134,685 )
Cash payments     (268,782 )     -       (268,782 )
Amortization     -       671,154       671,154  
Balance at September 30, 2017   $ 1,808,473     $ (1,387,588 )   $ 420,885