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12. Debt (Tables)
12 Months Ended
Dec. 31, 2017
Debt Disclosure [Abstract]  
Schedule of convertible debt
   December 31,
2017
   December 31,
2016
 
Redeemable unsecured convertible note -TeleMate  $1,000,000     
Principal value of secured convertible notes   676,223    225,000 
Loan discounts   (137,950)   (36,683)
Less: Current portion    (75,000   –  
Total convertible notes, net  $1,463,273   $188,317 
Schedule of secured debt
   December 31,
2017
   December 31,
2016
 
Principal value of promissory notes  $4,040,000   $4,000,000 
Loan discounts   (86,339)   (237,039)
Total promissory notes, net  $3,953,661   $3,762,961 
Schedule of future debt maturity payments
2017  $ 
2018  $75,000 
2019  $5,641,223 
2020  $ 
2021  $