Convertible Promissory DEBENTURES (Details Narrative) - USD ($)
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Mar. 23, 2022 |
Oct. 28, 2021 |
Oct. 22, 2021 |
May 10, 2021 |
Oct. 20, 2020 |
Sep. 17, 2020 |
Jun. 23, 2020 |
Jan. 28, 2020 |
Mar. 31, 2022 |
Dec. 31, 2021 |
Oct. 20, 2021 |
Short-Term Debt [Line Items] |
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Aggregate number of warrants to purchase shares |
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1,172,000
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Original issue discount amount |
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$ 158,804
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Debt principal amount converted |
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$ 110,000
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Shares issued upon conversion of debt |
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157,143
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Osher Capital Partners LLC [Member] |
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Short-Term Debt [Line Items] |
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Debt instrument carrying amount |
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$ 199,650
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Debt principal amount converted |
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$ 16,714
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Shares issued upon conversion of debt |
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42,857
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Convertible Promissory Note One [Member] |
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Short-Term Debt [Line Items] |
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Debt instrument maturity date |
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Oct. 20, 2022
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Debt instrument interest rate stated percentage |
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0.00%
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Convertible Promissory Note One [Member] | Osher Capital Partners LLC [Member] |
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Short-Term Debt [Line Items] |
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Debt conversion, description |
(i) $110,000 aggregate principal amount of Note due March 23, 2023 based on $1.00 for each $0.90909 paid by the previous noteholder
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Debt instrument, face amount |
$ 110,000
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Aggregate number of warrants to purchase shares |
220,000
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Exercise price of warrants per share |
$ 0.50
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Proceeds from issuance of convertible debt |
$ 100,000
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Original issue discount amount |
$ 10,000
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Debt instrument conversion price per share |
$ 0.50
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Convertible Promissory Note One [Member] | Osher Capital Partners LLC [Member] | Securities Purchase Agreement [Member] |
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Short-Term Debt [Line Items] |
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Debt conversion, description |
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(i) $181,500 aggregate principal amount of Original Issue Discount Senior Convertible Debenture
(the “Note”) due September 30, 2021, based on $1.00 for each $0.90909 paid by Osher
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(i) $50,000 aggregate principal amount of Original Issue Discount Senior Convertible Debenture
(the “Note”) due June 23, 2021, based on $1.00 for each $0.90909 paid by Osher
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(i) $385,000 aggregate principal amount of Original Issue Discount Senior Convertible Debenture
due January 26, 2021, based on $1.00 for each $0.90909 paid by Osher
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Debt instrument, face amount |
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$ 181,500
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$ 50,000
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$ 385,000
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Aggregate number of warrants to purchase shares |
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450,000
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8,250
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10,000
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80,209
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Exercise price of warrants per share |
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$ 1.00
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$ 30.00
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$ 30.00
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$ 7.00
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Proceeds from issuance of convertible debt |
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$ 50,005
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$ 165,000
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$ 50,005
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$ 350,005
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Original issue discount amount |
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$ 16,500
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$ 0
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$ 34,995
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Debt instrument conversion price per share |
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$ 0.39
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$ 0.39
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$ 0.094
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Debt instrument maturity date |
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Sep. 30, 2021
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Jun. 23, 2021
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Jan. 26, 2021
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Term of warrants |
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5 years
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5 years
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5 years
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5 years
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Debt instrument, maturity date, description |
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maturity date from October 20, 2021 to October 20, 2022
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Debt instrument carrying amount |
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$ 199,650
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$ 717,530
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$ 652,300
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$ 652,300
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Accrued interest |
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$ 65,230
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Debt principal amount converted |
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$ 16,714
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Shares issued upon conversion of debt |
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42,857
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Convertible Promissory Note One [Member] | Osher Capital Partners LLC [Member] | Amended Convertible Debt Agreement [Member] |
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Short-Term Debt [Line Items] |
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Aggregate number of warrants to purchase shares |
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4,113,083
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465,366
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Exercise price of warrants per share |
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$ 0.14
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$ 0.59
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Debt instrument interest rate stated percentage |
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8.00%
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Debt instrument, maturity date, description |
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maturity date from June 23, 2021 to October 20, 2021
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maturity date from September 30, 2021 to October 20, 2021
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Convertible Promissory Note One [Member] | Osher Capital Partners LLC [Member] | Amended Convertible Debt Agreement Two [Member] |
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Short-Term Debt [Line Items] |
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Debt instrument, face amount |
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$ 55,000
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Aggregate number of warrants to purchase shares |
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141,020
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Exercise price of warrants per share |
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$ 0.59
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Original issue discount amount |
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$ 4,995
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Debt instrument, maturity date, description |
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maturity date from June 23, 2021 to October 20, 2021
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Convertible Promissory Note One [Member] | Brio Capital Master Fund Ltd. [Member] |
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Short-Term Debt [Line Items] |
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Debt conversion, description |
(i) $110,000 aggregate principal amount of Note due March 23, 2023 based on $1.00 for each $0.90909 paid by the previous noteholder
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Debt instrument, face amount |
$ 110,000
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Aggregate number of warrants to purchase shares |
220,000
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Exercise price of warrants per share |
$ 0.50
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Proceeds from issuance of convertible debt |
$ 100,000
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Original issue discount amount |
$ 10,000
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Debt instrument conversion price per share |
$ 0.50
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