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Basis of Presentation and Summary of Significant Accounting Policies - Schedule of Discontinued Operations (Details) - USD ($)
3 Months Ended 9 Months Ended
Mar. 31, 2019
Mar. 31, 2018
Mar. 31, 2019
Mar. 31, 2018
Jun. 30, 2018
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]          
Cash $ 25,344   $ 25,344   $ 261
Prepaid expenses 3,686   3,686  
TOTAL CURRENT ASSETS 29,030   29,030   261
Other assets 800   800   800
TOTAL OTHER ASSETS 800   800   800
TOTAL ASSETS 29,830   29,830   1,061
Accounts payable 359,713   359,713   421,056
Accrued expenses 235,864   235,864   1,131,374
Due to related parties 32,545   32,545   226,045
Notes payable, Officers' 53,712   53,712   777,912
Notes payable, Director and Investor 4,478   4,478   133,274
Note Payable, Finance Company 48,392   48,392   39,468
Current Portion, Liabilities, in arrears, with convertible features 112,333   112,333   997,698
Current Portion, Judgement Settlement Agreement (Notes 3 and 5) 310,910   310,910   997,698
TOTAL CURRENT LIABILITIES 1,243,423   1,243,423   3,993,530
Long term portion, Convertible debenture (under settlement agreement-Note 5) 580,000   580,000  
TOTAL LIABILITIES 1,823,423   1,823,423   3,993,530
REVENUES  
General and administrative 1,422,737 65,092 1,541,960 136,896  
Depreciation and amortization 683  
TOTAL COSTS AND EXPENSES 1,422,737 65,092 1,541,960 137,579  
OPERATING LOSS (1,422,737) (65,092) (1,541,960) (137,579)  
Interest (Expense) (15,870) (61,094) (155,912) (184,342)  
Loss on debt extinguishments 5,655 16,279 1,057,249  
TOTAL OTHER INCOME (EXPENSE) (15,870) (55,439) (139,633) 872,907  
Income (Loss) from Discontinued Operations (3,805) (18,741) (14,713) 207,247  
Discontinued Operations [Member]          
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]          
Cash    
Prepaid expenses    
TOTAL CURRENT ASSETS    
Other assets    
TOTAL OTHER ASSETS    
TOTAL ASSETS    
Accounts payable 85,476   85,476   124,508
Accrued expenses     142,195
Due to related parties    
Notes payable, Officers'    
Notes payable, Director and Investor    
Note Payable, Finance Company 48,392   48,392   39,468
Current Portion, Liabilities, in arrears, with convertible features    
Current Portion, Judgement Settlement Agreement (Notes 3 and 5)    
TOTAL CURRENT LIABILITIES 133,868   133,868   306,171
Long term portion, Convertible debenture (under settlement agreement-Note 5)    
TOTAL LIABILITIES 133,868   133,868   306,171
REVENUES  
Selling and Marketing 157 2,251  
General and administrative 8,045 16,920  
Depreciation and amortization  
TOTAL COSTS AND EXPENSES 8,202 19,171  
OPERATING LOSS (8,202) (19,171)  
Interest (Expense) (3,805) (10,539) (27,245) (31,057)  
Loss on debt extinguishments 12,532 257,475  
TOTAL OTHER INCOME (EXPENSE) (3,805) (10,539) (14,713) 226,418  
Income (Loss) from Discontinued Operations (3,805) $ (18,741) (14,713) $ 207,247  
Continuing Operations [Member]          
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]          
Cash 25,344   25,344   261
Prepaid expenses 3,686   3,686  
TOTAL CURRENT ASSETS 29,030   29,030   261
Other assets 800   800   800
TOTAL OTHER ASSETS 800   800   800
TOTAL ASSETS 29,830   29,830   1,061
Accounts payable 359,713   359,713   421,056
Accrued expenses 235,864   235,864   1,131,374
Due to related parties 32,545   32,545   226,045
Notes payable, Officers' 53,712   53,712   777,912
Notes payable, Director and Investor 4,478   4,478   133,274
Note Payable, Finance Company    
Current Portion, Liabilities, in arrears, with convertible features 112,333   112,333   997,698
Current Portion, Judgement Settlement Agreement (Notes 3 and 5) 310,910   310,910  
TOTAL CURRENT LIABILITIES 1,109,555   1,109,555   3,687,359
Long term portion, Convertible debenture (under settlement agreement-Note 5) 580,000   580,000  
TOTAL LIABILITIES $ 1,689,555   $ 1,689,555   $ 3,687,359