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Consolidated Statements of Changes in Stockholders’ Deficit - USD ($)
Preferred stock
Common stock
Additional Paid-in Capital
Accumulated other comprehensive (loss) income
Accumulated deficits
Non controlling interests
Total
Balance at Dec. 31, 2020 $ 532 $ 172,883 $ 61,700,634 $ (13,246) $ (73,020,134) $ (877,585) $ (12,036,916)
Balance (in Shares) at Dec. 31, 2020 531,600 172,883,475          
Issuance of shares for director’s remuneration $ 9,187 542,057 551,244
Issuance of shares for director’s remuneration (in Shares) 9,187,406          
Common stock issued upon conversion of debt $ 16,401 187,766 204,167
Common stock issued upon conversion of debt (in Shares) 16,400,691          
Fractional shares from reverse split
Fractional shares from reverse split (in Shares) 800          
Common stock issued for services from consultants and service providers $ 26,873 1,024,537 1,051,410
Common stock issued for services from consultants and service providers (in Shares) 26,872,638          
Common stock issued for business marketing services $ 13,935 585,285 599,220
Common stock issued for business marketing services (in Shares) 13,935,337          
Cancellation share   $ (1) 1      
Cancellation share (in Shares)   (1,500)          
Preferred stock issued for business transaction fee $ 2,658   1,007,382       1,010,040
Preferred stock issued for business transaction fee (in Shares) 2,658,000            
Foreign currency translation adjustment (2,580) (2,580)
Net loss for the year (3,887,955) (9,558) (3,897,513)
Balance at Dec. 31, 2021 $ 3,190 $ 239,278 65,047,662 (15,826) (76,908,089) (887,143) (12,520,928)
Balance (in Shares) at Dec. 31, 2021 3,189,600 239,278,847          
Cancellation share $ 24,730 779,005 803,735
Cancellation share (in Shares)   24,730,307          
Issuance of shares for redemption of promissory note $ 160,532 699,668 860,200
Issuance of shares for redemption of promissory note (in Shares) 160,529,605          
Issuance of shares for consultancy service $ 5,345 234,655 240,000
Issuance of shares for consultancy service (in Shares) 5,345,212          
Foreign currency translation adjustment (17,439) (17,439)
Net loss for the year (4,117,479) (10,317) (4,127,796)
Balance at Dec. 31, 2022 $ 3,190 $ 429,885 $ 66,760,990 $ (33,265) $ (81,025,568) $ (897,460) $ (14,762,228)
Balance (in Shares) at Dec. 31, 2022 3,189,600 429,883,971