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Convertible Notes Payable (Details Narrative)
12 Months Ended
Nov. 02, 2017
USD ($)
d
Oct. 02, 2017
USD ($)
d
Sep. 29, 2017
USD ($)
d
Sep. 22, 2017
USD ($)
d
Sep. 12, 2017
USD ($)
d
Sep. 05, 2017
USD ($)
d
Aug. 29, 2017
USD ($)
d
Aug. 28, 2017
USD ($)
d
Jul. 10, 2015
USD ($)
d
Jun. 22, 2015
USD ($)
d
May 12, 2015
USD ($)
d
May 06, 2015
USD ($)
Dec. 31, 2017
USD ($)
Dec. 31, 2016
USD ($)
shares
Oct. 31, 2015
Interest rate percentage                             5.00%
Repayments of convertible debt                         $ 40,000 $ 148,000  
Accrued interest                         11,580    
Gain on settlement of convertible note                         28,000  
Loss on settlement of convertible note                         $ (55,000)  
Debt conversion of convertible shares | shares                           4,181  
Debt conversion of converted amount                           $ 44,000  
Note discount to account for notes derivative liability                         188,000 79,000  
Outstanding balance of notes payable                         443,250    
Unamortized note discount                         $ 288,543    
St. George Investments, LLC [Member]                              
Convertible promissory notes issued                       $ 91,000      
Interest rate percentage                       22.00%      
Debt maturity date                       Apr. 30, 2016      
Original issue discount                       $ 8,000      
Repayments of convertible debt                       3,000      
Debt issuance costs                       3,000      
Finders' fee                       $ 8,000      
Accrued interest                           3,000  
Principal note balance                           56,000  
Debt instruments increase accrued interest                           6,000  
Gain on settlement of convertible note                           106,000  
Loss on settlement of convertible note                           44,000  
Vis Vires Group, Inc. [Member]                              
Convertible promissory notes issued                 $ 53,000   $ 104,000        
Interest rate percentage                 22.00%   22.00%        
Debt maturity date                 Apr. 30, 2016   Feb. 29, 2016        
Debt issuance costs                     $ 2,000        
Accrued interest                           3,000  
Principal note balance                           12,000  
Debt instruments increase accrued interest                           78,000  
Gain on settlement of convertible note                           90,000  
Loss on settlement of convertible note                           $ 11,000  
Conversion of interest rate                 61.00%   61.00%        
Debt discount percentage                 39.00%   39.00%        
Trading days | d                 10   10        
Debt conversion of convertible shares | shares                           598  
Interest expense                 $ 1,000            
Auctus Fund, LLC [Member]                              
Convertible promissory notes issued                   $ 88,000          
Interest rate percentage                   24.00%          
Debt maturity date                   Mar. 31, 2016          
Repayments of convertible debt                           $ 25,000  
Debt issuance costs                   $ 8,000          
Finders' fee                   $ 8,000          
Accrued interest                            
Principal note balance                           53,000  
Gain on settlement of convertible note                           $ 28,000  
Conversion of interest rate                   50.00%          
Debt discount percentage                   50.00%          
Trading days | d                   25          
Debt conversion of convertible shares | shares                           16,075  
Debt conversion of converted amount                           $ 38,000  
Power Up Lending Group [Member]                              
Convertible promissory notes issued   $ 50,000           $ 40,000              
Interest rate percentage   8.00%           8.00%              
Debt maturity date   Jul. 15, 2018           Jun. 10, 2018              
Debt issuance costs   $ 77,000                          
Conversion of interest rate   63.00%           63.00%              
Trading days | d   10           10              
Note discount to account for notes derivative liability   $ 50,000           $ 40,000              
Crown Bridge Partners [Member]                              
Convertible promissory notes issued             $ 35,000                
Interest rate percentage             10.00%                
Debt maturity date             Aug. 29, 2018                
Debt issuance costs             $ 32,000                
Conversion of interest rate             55.00%                
Trading days | d             20                
Note discount to account for notes derivative liability             $ 35,000                
LG Capital Funding [Member]                              
Convertible promissory notes issued           $ 52,500                  
Interest rate percentage           6.00%                  
Debt maturity date           Sep. 05, 2018                  
Debt issuance costs           $ 37,000                  
Conversion of interest rate           58.00%                  
Trading days | d           20                  
Note discount to account for notes derivative liability           $ 52,500                  
EMA Financial [Member]                              
Convertible promissory notes issued         $ 100,000                    
Interest rate percentage         10.00%                    
Debt maturity date         Sep. 05, 2018                    
Debt issuance costs         $ 99,000                    
Conversion of interest rate         50.00%                    
Trading days | d         25                    
Note discount to account for notes derivative liability         $ 100,000                    
Essex Global Investment [Member]                              
Convertible promissory notes issued       $ 43,000                      
Interest rate percentage       10.00%                      
Debt maturity date       Sep. 22, 2018                      
Debt issuance costs       $ 32,000                      
Conversion of interest rate       58.00%                      
Trading days | d       25                      
Note discount to account for notes derivative liability       $ 43,000                      
Labrys Fund [Member]                              
Convertible promissory notes issued     $ 110,000                        
Interest rate percentage     12.00%                        
Debt maturity date     Mar. 29, 2018                        
Debt issuance costs     $ 232,000                        
Conversion of interest rate     50.00%                        
Trading days | d     25                        
Note discount to account for notes derivative liability     $ 110,000                        
Auctus Fund [Member]                              
Convertible promissory notes issued $ 52,750                            
Interest rate percentage 12.00%                            
Debt maturity date Aug. 02, 2018                            
Debt issuance costs $ 50,000                            
Conversion of interest rate 50.00%                            
Trading days | d 25                            
Note discount to account for notes derivative liability $ 52,750