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Consolidated Statements of Changes in Stockholder's Equity / (Deficit) - USD ($)
Total
Common Stock [Member]
Additional Paid-in Capital [Member]
Accumulated Deficit [Member]
Non-controlling Interest [Member]
Beginning Balance at Dec. 31, 2019 $ (53,297,415) $ 948 $ 221,027,057 $ (250,322,306) $ (24,003,114)
Beginning Balance, Shares at Dec. 31, 2019   9,478,009      
Common stock issued for cash 8,243,383 $ 255 8,243,128    
Common stock issued for cash, Shares   2,553,315      
Common stock issued for conversion and settlement of convertible debt and accounts payable 2,449,322 $ 38 2,449,284    
Common stock issued for conversion and settlement of convertible debt and accounts payable , Shares   380,223      
Common stock issued for exercise of warrant 6 $ 6      
Common stock issued for services 12 $ 12      
Common stock issued for services, Shares   123,309      
Share-based compensation 471,121   471,121    
Fair value of warrants attached to convertible debt 4,095,780   4,095,780    
Debt modification 418,987   418,987    
Subsidiary equity issued for cash 800,000   800,000    
Net loss before non-controlling interest (21,092,469)     (14,812,156) (6,280,313)
Ending Balance at Dec. 31, 2020 (57,911,273) $ 1,259 237,505,357 (265,134,462) (30,283,427)
Ending Balance, Shares at Dec. 31, 2020   12,591,084      
Common stock issued for exercise of warrant , Shares   56,228      
Common stock issued for conversion and settlement of convertible debt and accounts payable 2,774,279 $ 70 2,774,209    
Common stock issued for conversion and settlement of convertible debt and accounts payable , Shares   695,412      
Common stock issued to settle outstanding indebtedness 6,500,000 $ 98 6,499,902    
Common stock issued to settle outstanding indebtedness, Shares   984,848      
Common stock issued for services 4 $ 4      
Common stock issued for services, Shares   37,971      
Beneficial conversion feature on convertible obligation 232,175   232,175    
Share-based compensation 1,330,078   1,330,078    
Subsidiary equity issued for cash 713,879   713,879    
Net loss before non-controlling interest (16,127,780)     (9,956,395) (6,171,385)
Ending Balance at Dec. 31, 2021 (62,488,638) $ 1,431 249,055,600 (275,090,857) (36,454,812)
Ending Balance, Shares at Dec. 31, 2021   14,309,315      
Common stock issued for cash 8,812,964 $ 494 8,812,470    
Common stock issued for cash, Shares   4,939,515      
Share-based compensation 2,125,627 $ 29 2,125,598    
Share-based compensation, Shares   291,480      
Fair value of warrants attached to convertible debt 5,888,611   5,888,611    
Net loss before non-controlling interest (30,883,322)     (23,140,750) (7,742,572)
Ending Balance at Dec. 31, 2022 $ (76,544,758) $ 1,954 $ 265,882,279 $ (298,231,607) $ (44,197,384)
Ending Balance, Shares at Dec. 31, 2022   19,540,310