v3.20.1
RESTATEMENT (Schedule of Adjustment in Financial Statements) (Details) - USD ($)
3 Months Ended
Mar. 31, 2019
Mar. 31, 2018
Dec. 31, 2018
Convertible notes      
Convertible notes $ 104,689   $ 291,686
Accrued interest      
Settled accrued interest 23,787    
Accrued interest 7,963   28,595
Interest expense and amortization of debt discount      
Interest expense and amortization of debt discount 1,021,424 $ 280,784  
Derivative liabilities      
Derivative Liabilities 2,045,801   $ 2,296,080
Change in fair value of derivative      
Change in fair value of derivative liability (314,569) $ 4,172,029  
Adjustment [Member]      
Convertible notes      
Settled notes (400,000)    
Debt discount of settled notes 144,657    
New assigned notes 590,082    
Debt discount of new assigned notes (522,759)    
Convertible notes (188,020)    
Accrued interest      
Settled accrued interest (23,787)    
Accrued interest from new assigned notes 4,937    
Accrued interest (18,850)    
Interest expense and amortization of debt discount      
Amortization of settled notes 144,657    
Amortization of new assigned notes 67,323    
Interest expense from new assigned notes 4,937    
Interest expense and amortization of debt discount 216,917    
Derivative liabilities      
Derivative liabilities from settled notes (1,202,512)    
Derivative liabilities from new assigned notes 1,688,499    
Derivative Liabilities 485,987    
Change in fair value of derivative      
Gain on change in fair value of derivative from settled notes 1,202,512    
Loss on change in fair value of derivative from new assigned notes (82,872)    
Day 1 loss from new assigned notes (1,015,545)    
Change in fair value of derivative liability $ 104,095