Fair value as of January 31, 2018
$
-
Fair value on the date of issuance recorded as a debt discount
41,500
Fair value on the date of issuance recorded as a loss on derivatives
439,906
Settlement of derivative liability
(17,490)
Gain on change in fair value of derivatives
(14,225)
Fair value as of July 31, 2018
449,691
Represents the textual narrative disclosure of Schedule of Change in the fair value of the derivative liability, during the indicated time period.
No definition available.