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CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS EQUITY (DEFICIT) - USD ($)
Diamond Note 2 [Member]
Additional Paid-in Capital [Member]
Diamond Note 2 [Member]
Commitments [Member]
Common Stock [Member]
Commitments [Member]
Additional Paid-in Capital [Member]
Commitments [Member]
Waiver Fee [Member]
Common Stock [Member]
Waiver Fee [Member]
Additional Paid-in Capital [Member]
Waiver Fee [Member]
Stock Subscribed [Member]
Waiver Fee [Member]
Convertible Debt [Member]
Common Stock [Member]
Convertible Debt [Member]
Additional Paid-in Capital [Member]
Convertible Debt [Member]
Accounts Payable [Member]
Common Stock [Member]
Accounts Payable [Member]
Additional Paid-in Capital [Member]
Accounts Payable [Member]
Stock Subscribed [Member]
Accounts Payable [Member]
Stock Payable [Member]
Stock Subscribed [Member]
Stock Payable [Member]
Series A Preferred Stock [Member]
Preferred Stock [Member]
Series A Preferred Stock [Member]
Common Stock [Member]
Series A Preferred Stock [Member]
Additional Paid-in Capital [Member]
Series A Preferred Stock [Member]
Retained Earnings [Member]
Series A Preferred Stock [Member]
Series X Preferred Stock [Member]
Preferred Stock [Member]
Series X Preferred Stock [Member]
Common Stock [Member]
Series X Preferred Stock [Member]
Additional Paid-in Capital [Member]
Series X Preferred Stock [Member]
Series C Preferred Stock [Member]
Preferred Stock [Member]
Series C Preferred Stock [Member]
Common Stock [Member]
Series C Preferred Stock [Member]
Additional Paid-in Capital [Member]
Series C Preferred Stock [Member]
Retained Earnings [Member]
Series C Preferred Stock [Member]
Series D Preferred Stock [Member]
Preferred Stock [Member]
Series D Preferred Stock [Member]
Additional Paid-in Capital [Member]
Series D Preferred Stock [Member]
Retained Earnings [Member]
Series D Preferred Stock [Member]
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
Stock Subscribed [Member]
Total
Balance, at Dec. 31, 2019                                               $ 262                         $ 812,684 $ 8,407,977 $ (11,576,574) $ 37,186 $ (2,318,465)
Balance, (in Shares) at Dec. 31, 2019                                               26,227                         81,268,443        
Vesting of common stock issued to employees                                                                           67,623     67,623
Vesting of stock options issued to employees                                                                           421,502     421,502
Stock issued for services                                     $ 48   $ 71,510   $ 71,558                           $ 2,000 5,680     7,680
Stock issued for services (in Shares)                                     4,800                                   200,000        
Settlement of derivative liabilities                                                                         $ 80,000 380,562     $ 460,562
Settlement of derivative liabilities (in Shares)                                                                         7,999,996       2,151,204
Common stock issued for payable                   $ 633,748 $ 999,658 $ 1,633,406                         $ 21,511 $ 44,057 $ 65,568                   $ 3,869 17,787     $ 21,656
Common stock issued for payable (in Shares)                   63,374,555                             2,151,204                       386,985        
Issuance of shares (in Shares)                                                                         7,999,996       2,151,204
Gain on settlement                                 $ (37,186) $ (37,186)                                             $ 399,761
Preferred stock dividends                                                     (65,568)                     (75,535)     (75,535)
Loss for the period                                                                             (2,860,594)   (2,860,594)
Balance, at Dec. 31, 2020                                     $ 48         $ 262                         $ 1,553,812 10,340,821 (14,437,168)   (2,542,225)
Balance, (in Shares) at Dec. 31, 2020                                     4,800         26,227                         155,381,183        
Vesting of common stock issued to employees                                                                           4,008     4,008
Vesting of stock options issued to employees                                                                           5,942     5,942
Stock issued for services                                                                         $ 10,961 211,519     222,480
Stock issued for services (in Shares)                                                                         1,097,358        
Common stock issued for payable                   $ 339,442 $ 2,314,353 $ 2,653,795                                                          
Common stock issued for payable (in Shares)                   33,944,157                                                              
Sale of stock                                                       $ 30,000   $ 1,461,283   $ 1,491,283         $ 66,750 1,601,250     1,668,000
Sale of stock (in Shares)                                                       3,000,000                 6,672,000        
Warrants issued                                                           1,268,717   1,268,717                  
Gain on settlement                                                                                 0
Conversion of Preferred Stock to common stock                                     $ (48) $ 6,000 (5,952)                                        
Conversion of Preferred Stock to common stock (in Shares)                                     (4,800) 600,000                                          
Deemed dividend on Preferred Stock                                         206,242 $ (206,242)               126,000 $ (126,000)                    
Preferred stock dividends                                             (1,000)       $ (16,392)                     (20,499)     (20,499)
Loss for the period                                                                             (2,402,211)   (2,402,211)
Balance, at Mar. 31, 2021                                               $ 262       $ 30,000                 $ 1,976,965 17,513,684 (17,171,621)   2,349,290
Balance, (in Shares) at Mar. 31, 2021                                               26,227       3,000,000                 197,694,698        
Balance, at Dec. 31, 2020                                     $ 48         $ 262                         $ 1,553,812 10,340,821 (14,437,168)   (2,542,225)
Balance, (in Shares) at Dec. 31, 2020                                     4,800         26,227                         155,381,183        
Vesting of common stock issued to employees                                                                           13,032     13,032
Vesting of stock options issued to employees                                                                           676,423     676,423
Stock issued for services                                                                         $ 10,963 211,517     222,480
Stock issued for services (in Shares)                                                                         1,099,320        
Settlement of derivative liabilities (in Shares)                                                                         479,464        
Common stock issued for payable                             $ 252,029 $ 252,029                                         $ 339,442 2,314,353     2,653,795
Common stock issued for payable (in Shares)                                                                         33,944,157        
Issuance of shares                                                                         $ 4,795 115,071   (119,866)  
Issuance of shares (in Shares)                                                                         479,464        
Sale of stock                                                       $ 30,000   1,461,283   1,491,283 $ 31,000 $ 1,688,018   $ 1,719,018 $ 66,750 1,601,250     1,668,000
Sale of stock (in Shares)                                                     24,227 3,000,000         3,100,000       6,672,000        
Warrants issued                                                           1,268,717   1,268,717   1,179,682   1,179,682   261,568     261,568
Gain on settlement                                                                                 0
Conversion of Preferred Stock to common stock                                     $ (48) $ 6,000 (5,952)             $ (20,594) $ 82,374 (61,780)                      
Conversion of Preferred Stock to common stock (in Shares)                                     (4,800) 600,000               (2,059,356) 8,237,425                        
Shares issued for exercise of stock options                                                                         $ 82,816 156,184     $ 239,000
Shares issued for exercise of stock options (in Shares)                                                                         8,281,668       8,652,668
Net shares issued in connection with settlement agreement                                               $ (20)                         $ (13,620) 141,550     $ 127,910
Net shares issued in connection with settlement agreement (in Shares)                                               (2,000)                         (1,362,047)        
Deemed dividend on Preferred Stock                                         $ 206,242 $ (206,242)               $ 126,000 $ (126,000)     $ 2,786,288 $ (2,786,288)            
Preferred stock dividends                                             $ (1,000)       $ 0         $ (87,059)       $ (35,327)   (185,202)     (185,202)
Loss for the period                                                                             (7,922,634)   (7,922,634)
Balance, at Dec. 31, 2021                                               $ 242       $ 9,406         $ 31,000       $ 2,133,332 24,295,063 (25,478,332) $ 132,163 1,122,874
Balance, (in Shares) at Dec. 31, 2021                                               24,227       940,644         3,100,000       213,333,170        
Vesting of common stock issued to employees                                                                           1,512     1,512
Vesting of stock options issued to employees                                                                           167,015     $ 167,015
Settlement of derivative liabilities (in Shares)     1,720,000     1,541,721                                                             382,353     382,353 1,720,000
Common stock issued for payable                         $ 31,797 $ 546,438   $ 578,235                                                  
Common stock issued for payable (in Shares)                         3,179,650                                                        
Issuance of shares     $ 17,200 $ 226,106 $ 243,306 $ 15,417 $ 260,301 $ 91,440 $ 367,158                                                       $ 3,824 91,764   $ (95,588)  
Issuance of shares (in Shares)     1,720,000     1,541,721                                                             382,353     382,353 1,720,000
Warrants issued $ 2,213 $ 2,213                                                                       2,914     $ 2,914
Gain on settlement                                                                         $ (4,000) 4,000     (78,235)
Gain on settlement (in Shares)                                                                         (400,000)        
Deemed dividend on Preferred Stock                                                                                 226,106
Preferred stock dividends                                                                           (79,692)     (79,692)
Loss for the period                                                                             (3,645,194)   (3,645,194)
Balance, at Mar. 31, 2022                                               $ 242       $ 9,406         $ 31,000       $ 2,197,570 $ 25,517,634 $ (29,123,526) $ 128,015 $ (1,239,659)
Balance, (in Shares) at Mar. 31, 2022                                               24,227       940,644         3,100,000       219,756,894