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CONVERTIBLE NOTES PAYABLE (Tables)
12 Months Ended
Dec. 31, 2021
Debt Disclosure [Abstract]  
SCHEDULE OF ISSUANCE ACTIVITY

The schedule below shows issuance activity by year of issuance. There have been no issuances of Bridge Notes since 2017:

 

   2014   2014-15   2016   2017   Total 
Principal  $768,694   $371,500   $283,000   $86,000   $1,509,194 
Repurchased  $-   $(121,500)  $-   $-   $(121,500)
Related Party  $102,000   $-   $-   $-   $102,000 
Total  $870,694   $250,000   $283,000   $86,000   $1,489,694 
                          
Maturity Date   6/30/2015    12/31/2015    12/31/2018    9/30/2017      
Stated Interest   8%   10%   10%   10%     
Default Interest   12%   18%   18%   18%     
SCHEDULE OF CONVERTIBLE NOTES PAYABLE

At December 31, 2021 and 2020, the Company’s Convertible Notes Payable are as follows:

 

  

December 31, 2021

  

December 31, 2020

 
Notes Payable  $1,387,694   $1,387,694 
Accrued Interest   1,067,644    866,226 
Notes Payable, related party   102,000    102,000 
Accrued Interest, related party   79,490    251 
Total notes payable  $2,636,828   $2,420,171