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CONVERTIBLE DEBT (Details Narrative) - USD ($)
1 Months Ended 9 Months Ended
Aug. 10, 2021
Nov. 11, 2020
Jul. 07, 2020
May 07, 2020
Aug. 16, 2021
Apr. 20, 2021
Feb. 16, 2021
Oct. 28, 2020
Dec. 31, 2021
Dec. 31, 2020
Repayment of debt                 $ 320,500 $ 0
Common stock shares issued upon conversion of debt                 54,130  
Debt instrument converted amount                 $ 0 $ 100,000
Risk free interest rate                 0.05%  
8% Convertible Note [Member]                    
Convertible debt       $ 50,000            
Conversion price, Description       The note is convertible into common stock at the lesser of $0.20 per share or 80% of the lowest closing bid five days prior to conversion            
Series A Convertible Preferred Stock [Member]                    
Financing cost   $ 24,750     $ 35,000 $ 41,400        
Repayment of debt   82,500     100,000 138,000        
Accrued interest   82,500     $ 5,000 $ 6,805     $ 7,671  
Common stock shares issued upon conversion of debt     50,000              
Debt instrument converted amount     $ 50,000              
Convertible debt $ 200,000 $ 82,500         $ 100,000 $ 138,000 $ 200,000  
Conversion price, Description   After 180 days the note may be converted into common stock of the Company at a 35% discount to the lowest trading price during the 20 days prior to conversion.         After 180 days the note may be converted into common stock of the Company at a 30% discount to the lowest trading price during the 15 days prior to conversion. The initial derivative was calculated using risk free interest of .18%, volatility of 213% and expected life of 1.00 years After 180 days the note may be converted into common stock of the Company at $0.04 per share or a 30% discount to the VWAP during the 20 days prior to conversion. The initial derivative was calculated using risk free interest of .18%, volatility of 212% and expected life of .50 years    
Debt instrument original issue discount   $ 7,500         $ 5,000 $ 10,000    
Risk free interest rate 0.05% 10.00%         10.00%   0.05%  
Expected volatility 132.00%               153.00%  
Debt maturity date Feb. 10, 2022 Oct. 28, 2021         Feb. 16, 2022 Oct. 28, 2021    
Interest rate 10.00%             10.00%