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ORGANIZATION AND SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Tables)
12 Months Ended
Dec. 31, 2021
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Components of Accounts Receivable, net
               
    December 31,   December 31,
    2021   2020
Trade Accounts Receivables at year end   $ 1,481     $ 197,166  
Reserve for estimated marketing allowances, cash discounts and other incentives           (77,102 )
Total Accounts Receivable, net   $ 1,481     $ 120,064  
Schedule of Changes in Reserve Included in Net Accounts Receivable
  December 31,   December 31,
    2021   2020
Balance at beginning of the year   $ (77,102 ))   $ (263,092 )
 Accrued allowances            
 Reclassification of allowance from accounts receivable to accounts payable and accrued liabilities     77,102       173,426  
 Expenditures           12,564  
Balance at year-end   $     $ (77,102 )
Schedule of Useful Lives, Depreciation of Property and Equipment
Schedule of Useful Lives, Depreciation of Property and Equipment                    
    Useful Life   December 31, 2021   December 31, 2020
Computer equipment and software   3-7 years   $ 53,819     $ 53,819  
Machinery and equipment   3-7 years     151,251       119,323  
Furniture and fixtures   3-7 years     6,828       6,828  
Less: Accumulated depreciation         (134,970 )     (125,118 )
Property and Equipment, Net       $ 76,928     $ 54,852  
Schedule of Goodwill Impairment Charges
Schedule of Goodwill Impairment Charges        
    December 31,   December 31,
    2021   2020
Balance at the beginning of the period   $ 1,312,482     $ 1,936,020  
Impairment charges           (623,538 )
Balance at December 31, 2021   $ 1,312,482     $ 1,312,482  
Schedule of Basic Weighted Average Shares Outstanding is Reconciled to Diluted
       
    Year Ended
  December 31, 2021
  Year Ended
  December 31, 2020
Basic and Diluted weighted average shares outstanding       48,196,903       46,337,198  
Schedule of Net Revenue by Major Source
Schedule of Net Revenue by Major Source                                
    For the Year Ended
December 31, 2021
  For the Year Ended
December 31, 2020
    Capstone Brand   % of
Revenue
  Capstone Brand   % of
Revenue
Lighting Products- U.S.   $ 340,896       49 %   $ 2,066,519       75 %
Smart Mirror Products- U.S.     3,795       1 %            
Lighting Products-International     341,163       50 %     703,839       25 %
 Total Revenue   $ 685,854       100 %   $ 2,770,358       100 %
Schedule of Changes in Product Warranty Liabilities Included in Accounts Payable and Accrued Liabilities
               
    December 31,   December 31,
    2021   2020
Balance at the beginning of the year   $ 56,465     $ 247,850  
 Amount accrued           46,322  
 Payments and credits     (10,142 )     (237,707 )
Balance at year-end   $ 46,322     $ 56,465  

Schedule of Components of Accounts Payable and Accrued Liabilities
       
    December 31,   December 31,
    2021   2020
Accounts payable   $ 126,281     $ 246,158  
Accrued warranty reserve     46,322       56,465  
Accrued compensation and deferred wages, marketing allowances, customer deposits and other liabilities     365,948       523,067  
 Total   $ 538,551     $ 825,690