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Correction for Fair Value Option Election - Interim Condensed Consolidated Balance Sheets, Statements of Operations and Comprehensive Loss, Consolidated Statements of Cash Flows (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2022
Mar. 31, 2022
Jun. 30, 2021
Mar. 31, 2021
Jun. 30, 2022
Jun. 30, 2021
Dec. 31, 2021
Dec. 31, 2020
New Accounting Pronouncements or Change in Accounting Principle [Line Items]                
Convertible promissory notes $ 5,185,711       $ 5,185,711   $ 3,798,516  
Total Current Liabilities 17,760,069       17,760,069   13,944,507  
Total Liabilities 19,635,488       19,635,488   15,900,789  
Additional paid-in capital 14,286,645       14,286,645   11,272,599  
Accumulated deficit (23,426,544)       (23,426,544)   (18,334,649)  
Stockholders' deficiency (9,176,697) $ (9,358,596) $ (4,400,809) $ (3,816,440) (9,176,697) $ (4,400,809) (7,329,068) $ (4,760,950)
Total Liabilities and Stockholders' Deficiency 10,458,791       10,458,791   $ 8,571,721  
Professional fees 360,433   98,344   622,085 167,746    
Interest expense and default amounts 189,708   168,986   380,951 332,860    
Amortization of financing costs 33,632   11,753   67,164 25,331    
Total operating expenses 2,013,150   636,895   3,319,063 1,235,107    
Net Loss From Operating Activities (2,015,166)   (714,939)   (3,582,244) (1,431,083)    
Other income (loss) (213,503)   (107,756)   (1,509,651) 215,856    
Net loss $ (2,228,669) $ (2,863,226) $ (822,695) $ (392,532) $ (5,091,895) $ (1,215,227)    
Net loss per share $ (0.03)   $ (0.01)   $ (0.06) $ (0.01)    
Adjustments for:                
Amortization of financing fees $ 33,632   $ 11,753   $ 67,164 $ 25,331    
Net cash used in operating activities         $ (616,316) (1,291,777)    
As Previously Reported [Member]                
New Accounting Pronouncements or Change in Accounting Principle [Line Items]                
Convertible promissory notes     848,022     848,022    
Total Current Liabilities     9,462,953     9,462,953    
Total Liabilities     9,914,442     9,914,442    
Additional paid-in capital     11,171,385     11,171,385    
Accumulated deficit     (14,573,090)     (14,573,090)    
Stockholders' deficiency     (3,854,878)     (3,854,878)    
Total Liabilities and Stockholders' Deficiency     6,059,564     6,059,564    
Professional fees     70,844     135,246    
Interest expense and default amounts     168,718     332,592    
Amortization of financing costs     122,543     136,121    
Total operating expenses     719,917     1,313,129    
Net Loss From Operating Activities     (797,961)     (1,509,105)    
Other income (loss)     0     404,809    
Net loss     (797,961)     (1,104,296)    
Adjustments for:                
Amortization of financing fees     122,543     136,121    
Loss on revaluation           0    
Net cash used in operating activities           (1,259,009)    
Adjustments [Member]                
New Accounting Pronouncements or Change in Accounting Principle [Line Items]                
Convertible promissory notes     545,931     545,931    
Total Current Liabilities     545,931     545,931    
Total Liabilities     545,931     545,931    
Additional paid-in capital     (435,000)     (435,000)    
Accumulated deficit     (110,931)     (110,931)    
Stockholders' deficiency     (545,931)     (545,931)    
Total Liabilities and Stockholders' Deficiency     0     0    
Professional fees     27,500     32,500    
Interest expense and default amounts     268     268    
Amortization of financing costs     (110,790)     (110,790)    
Total operating expenses     (83,022)     (78,022)    
Net Loss From Operating Activities     (83,022)     (78,022)    
Other income (loss)     (107,756)     (188,953)    
Net loss     (24,734)     (110,931)    
Adjustments for:                
Amortization of financing fees     (110,790)     (110,790)    
Loss on revaluation     107,756     188,953    
Net cash used in operating activities           (32,768)    
Restated [Member]                
New Accounting Pronouncements or Change in Accounting Principle [Line Items]                
Convertible promissory notes     1,393,953     1,393,953    
Total Current Liabilities     10,008,884     10,008,884    
Total Liabilities     10,460,373     10,460,373    
Additional paid-in capital     10,736,385     10,736,385    
Accumulated deficit     (14,684,301)     (14,684,301)    
Stockholders' deficiency     (4,400,809)     (4,400,809)    
Total Liabilities and Stockholders' Deficiency     6,059,564     6,059,564    
Professional fees     98,344     167,746    
Interest expense and default amounts     168,986     332,860    
Amortization of financing costs     11,753     25,331    
Total operating expenses     636,895     1,235,107    
Net Loss From Operating Activities     (714,939)     (1,431,083)    
Other income (loss)     (107,756)     215,856    
Net loss     (822,695)     (1,215,227)    
Adjustments for:                
Amortization of financing fees     $ 11,753     25,331    
Loss on revaluation           188,953    
Net cash used in operating activities           $ (1,291,777)