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Fair Value Measurement (Tables)
6 Months Ended
Jun. 30, 2022
Fair Value Disclosures [Abstract]  
Schedule of financial assets and liabilities that measured at fair value on a recurring basis [Table Text Block]
    Fair Value Measurements as of
June 30, 2022
Using:
 
    Level 3     Total  
Assets: $     $ -  
Liabilities:            
Convertible promissory notes   5,185,711     5,185,711  
  $ 5,185,711   $ 5,185,711  
Schedule of change in Level 3 financial instruments [Table Text Block]
Fair value at December 31, 2021 $ 3,798,516  
Fair value of new at issuances   2,159,526  
Repayments   (85,880 )
Mark to market adjustment   5,124,945  
Settlement   (5,811,396 )
Fair value at June 30, 2022 $ 5,185,711