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Condensed Consolidated Statement of Changes in Stockholders' Deficiency (Unaudited) - USD ($)
3 Months Ended 9 Months Ended
Sep. 30, 2019
Jun. 30, 2019
Mar. 31, 2019
Sep. 30, 2018
Jun. 30, 2018
Mar. 31, 2018
Sep. 30, 2019
Sep. 30, 2018
Preferred Stock Series B [Member]                
Beginning Balance
Beginning Balance, shares 100 100 100 100 100 100 100 100
Common stock issued upon exercise of warrants      
Common stock issued upon exercise of warrants, shares      
Common stock issued for services            
Common stock issued for services, shares            
Warrants issued for services            
Common stock issued in lieu of accounts payable            
Common stock issued in lieu of accounts payable, shares            
Net loss    
Other comprehensive loss          
Ending Balance
Ending Balance, shares 100 100 100 100 100 100 100 100
Common Stock [Member]                
Beginning Balance $ 384,906 $ 384,715 $ 384,615 $ 383,112 $ 378,889 $ 370,962 $ 384,615 $ 370,962
Beginning Balance, shares 384,906,118 384,714,528 384,614,528 383,111,028 378,888,190 370,961,451 384,614,528 370,961,451
Common stock issued upon exercise of warrants $ 3,646   $ 100 $ 390 $ 3,223 $ 7,927    
Common stock issued upon exercise of warrants, shares 3,645,857   100,000 390,000 3,222,838 7,926,739    
Common stock issued for services $ 25 $ 191            
Common stock issued for services, shares 25,000 191,590            
Warrants issued for services            
Common stock issued in lieu of accounts payable       $ 1,000      
Common stock issued in lieu of accounts payable, shares       1,000,000      
Net loss    
Other comprehensive loss          
Ending Balance $ 388,577 $ 384,906 $ 384,715 $ 383,502 $ 383,112 $ 378,889 $ 388,577 $ 383,502
Ending Balance, shares 388,576,975 384,906,118 384,714,528 383,501,028 383,111,028 378,888,190 388,576,975 383,501,028
Additional Paid-In Capital [Member]                
Beginning Balance $ 209,116,301 $ 209,097,417 $ 209,092,187 $ 209,013,554 $ 208,765,999 $ 208,351,431 $ 209,092,187 $ 208,351,431
Common stock issued upon exercise of warrants 190,678   5,230 20,396 168,555 414,568    
Common stock issued for services 1,725 8,771            
Warrants issued for services 915 10,113            
Common stock issued in lieu of accounts payable       79,000      
Net loss    
Other comprehensive loss          
Ending Balance 209,309,619 209,116,301 209,097,417 209,033,950 209,013,554 208,765,999 209,309,619 209,033,950
Accumulated Other Comprehensive Loss [Member]                
Beginning Balance (24,859) (22,363)
Common stock issued upon exercise of warrants      
Common stock issued for services            
Warrants issued for services            
Common stock issued in lieu of accounts payable            
Net loss    
Other comprehensive loss 58 (2,496) (22,363)          
Ending Balance (24,801) (24,859) (22,363) (24,801)
Accumulated Deficit [Member]                
Beginning Balance (230,441,440) (228,264,121) (226,894,291) (223,097,056) (221,640,848) (218,741,236) (226,894,291) (218,741,236)
Common stock issued upon exercise of warrants      
Common stock issued for services            
Warrants issued for services            
Common stock issued in lieu of accounts payable            
Net loss (1,820,075) (2,177,319) (1,369,830) (1,609,003) (1,456,208) (2,899,612)    
Other comprehensive loss          
Ending Balance (232,261,515) (230,441,440) (228,264,121) (224,706,059) (223,097,056) (221,640,848) (232,261,515) (224,706,059)
Beginning Balance (20,965,092) (18,804,352) (17,417,489) (13,700,390) (12,495,960) (10,018,843) (17,417,489) (10,018,843)
Common stock issued upon exercise of warrants 194,324   5,330 20,786 171,778 422,495    
Common stock issued for services 1,750 8,962            
Warrants issued for services 915 10,113            
Common stock issued in lieu of accounts payable       80,000      
Net loss (1,820,075) (2,177,319) (1,369,830) (1,609,003) (1,456,208) (2,899,612) (5,367,224) (5,964,823)
Other comprehensive loss 58 (2,496) (22,363)     (24,801)
Ending Balance $ (22,588,120) $ (20,965,092) $ (18,804,352) $ (15,288,607) $ (13,700,390) $ (12,495,960) $ (22,588,120) $ (15,288,607)