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NOTE 9 - NOTES PAYABLE TO THIRD PARTIES (Tables)
12 Months Ended
Dec. 31, 2019
Debt Disclosure [Abstract]  
Notes Payable
                        Look    
Inception   Issue   Maturity       Interest   Conversion   Back   December 31 Balance
Amount   Date   Date   OID   Rate   Price   Period   2019   2018
a) Sale of Future Receivables                        
    various   various   -   -     -   -   $ 309,311   $ 154,770
b) Notes                        
$ 88,000           -   7%   -   -   -   24,985
$ 25,903   10/1/18   6/4/20   -   17%   -   -   3,372   20,121
$ 4,100   10/22/18   10/22/20   -   -     -   -   2,327   3,593
$ 14,800   6/5/18       -   -     -   -   10,219   13,490
$ 100,000   4/10/19   4/10/20   -   20%   -   -   114,630   -
                $ 130,548   $ 62,189
c) Convertible Notes - Variable Conversion Rate                    
$ 30,000   6/14/17   12/14/17   -     10%   35%   3 days   33,600   33,600
$ 35,000   7/11/18   4/15/19   -     12%   49%   15 days   -   35,932
$ 33,000   8/23/18   5/23/19   -     12%   49%   15 days   -   33,437
$ 138,000   12/3/18   9/15/19   -     12%   45%   20 days   -   139,270
$ 100,000   12/11/18   12/11/19   10%   12%   40%   20 days   -   100,548
$ 50,000   4/16/19   1/16/20   10%   12%   45%   20 days   330   -
$ 153,000   5/28/19   5/24/20   -     12%   45%   20 days   72,105   -
$ 118,750   6/24/19   3/17/20   -     12%   50%   25 days   123,868   -
$ 50,000   6/28/19   3/27/20   10%   12%   45%   20 days   49,427   -
$ 50,000   6/28/19   3/27/20   10%   12%   45%   20 days   57,652   -
$ 50,000   6/28/19   3/27/20   10%   12%   45%   20 days   57,779   -
$ 103,000   7/1/19   6/27/20   -     12%   45%   20 days   109,197   -

                        Look    
Inception   Issue   Maturity       Interest   Conversion   Back   December 31 Balance
Amount   Date   Date   OID   Rate   Price   Period   2019   2018
c) Convertible Notes - Variable Conversion Rate, continued                
$ 108,000   7/5/19   6/30/20   11.11%   12%   45%   20 days   132,699   
$ 103,000   7/10/19   7/10/20   10%   8%   45%   20 days   121,862   
$ 75,000   8/7/19   5/7/20   -   12%   50%   10 days   73,600   
$ 70,000   8/7/19   5/7/20   12%   12%   40%   20 days   77,172   
$ 90,000   8/8/19   8/8/20   -   10%   43%   20 days   96,914   
$ 135,000   8/12/19   7/10/20   11%   8%   45%   20 days   160,160   
$ 53,000   10/31/19   8/15/20   -   12%   45%   20 days   53,709   
$ 18,235   12/13/19   12/13/20   9%   10%   35%   25 days   18,394   
      Subtotal Convertible Notes - Variable Conversion Rate           1,238,468    342,787 
             Less unamortized discounts                   (553,646)   (113,610)
       Net Convertible Notes - Variable Conversion Rate           $ 684,822    $ 229,177 
d) Convertible Notes - Fixed Conversion Rate                    
$ 87,522   7/3/18   12/31/20   -   12%   $ 0.0035   -   22,039    82,791 
$ 54,445   7/10/18   12/31/21   -   8%   $ 0.0035   -   59,406    54,445 
$ 33,504   8/10/18   12/31/21   -   12%   $ 0.0035   -   37,551    33,504 
$ 80,044   8/7/19   12/31/21   -   12%   $ 0.0035   -   37,866    83,807 
$ 100,000   4/10/19   4/10/20   -   20%   $ .05   -   114,630   
        Subtotal Convertible Notes - Fixed Conversion Rate           271,492    254,547 
             Less unamortized discounts                   (76,465)   (199,848)
       Net Convertible Notes - Variable Conversion Rate           $ 195,027    $ 54,699 
e) Note of Wholly Owned Subsidiary                
$ 375,000   3/5/15   12/5/15   -   18%   -   -   $ 438,220    $ 438,220