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Consolidated Statements of Stockholders’ Equity (Deficit) (Unaudited) - USD ($)
Common Stock
Stock Subscription Receivable
Additional Paid-in Capital
Accumulated Deficit
Accumulated Other Comprehensive Income
Treasury Stock
Non controlling Interest
Total
Balance at Dec. 31, 2020 $ 24,420 $ (3,160,360) $ 40,751,807 $ (25,642,387) $ 564,860 $ (9,100,000) $ (776,273) $ 2,662,067
Balance (in Shares) at Dec. 31, 2020 24,420,526         (275,347)    
Issuance of common shares for cash $ 3,028 10,265,995 10,269,023
Issuance of common shares for cash (in Shares) 3,027,750              
Issuance of common shares for consulting service $ 367 1,728,223 1,728,590
Issuance of common shares for consulting service (in Shares) 366,934              
Issuance of common shares for debt conversion $ 1,111 2,692,437 2,693,548
Issuance of common shares for debt conversion (in Shares) 1,111,112              
Stock based compensation for services   902,960 902,960
Stock based compensation for options granted     2,675,205         2,675,205
Net loss for the period       (12,838,813)     802,962 (12,035,851)
Cumulative transaction adjustments         (25,200)     (25,200)
Balance at Dec. 31, 2021 $ 28,926 (2,257,400) 58,113,667 (38,481,200) 539,660 $ (9,100,000) 26,689 8,870,342
Balance (in Shares) at Dec. 31, 2021 28,926,322         (275,347)    
Issuance of common shares for consulting service $ 1,381 4,464,882 4,466,263
Issuance of common shares for consulting service (in Shares) 1,381,007              
Stock based compensation 225,740   225,740
Net loss for the period (5,995,440)   (92,175) (6,087,615)
Cumulative transaction adjustments   (113,339) (113,339)
Balance at Mar. 31, 2022 $ 30,307 (2,031,660) 62,578,549 (44,476,640) 426,321 $ (9,100,000) (65,486) 7,361,391
Balance (in Shares) at Mar. 31, 2022 30,307,329         (275,347)    
Balance at Dec. 31, 2021 $ 28,926 (2,257,400) 58,113,667 (38,481,200) 539,660 $ (9,100,000) 26,689 8,870,342
Balance (in Shares) at Dec. 31, 2021 28,926,322         (275,347)    
Issuance of common shares for cash $ 2,000   3,661,925         3,663,925
Issuance of common shares for cash (in Shares) 2,000,000              
Issuance of common shares for consulting service $ 1,931   4,889,957         4,891,888
Issuance of common shares for consulting service (in Shares) 1,931,007              
Stock based compensation for services   902,960           902,960
Stock based compensation for options granted     1,241,930         1,241,930
Net loss for the period       (16,423,239)     110,865 (16,312,374)
Cumulative transaction adjustments         (22,532)     (22,532)
Balance at Dec. 31, 2022 $ 32,857 (1,354,440) 67,907,479 (54,904,439) 517,128 $ (9,100,000) 137,554 3,236,139
Balance (in Shares) at Dec. 31, 2022 32,857,329         (275,347)    
Issuance of common shares for consulting service $ 224   140,525 140,749
Issuance of common shares for consulting service (in Shares) 223,411              
Stock based compensation 225,740 225,740
Net loss for the period   (1,823,695) (73,535) (1,897,230)
Cumulative transaction adjustments 29,109 29,109
Balance at Mar. 31, 2023 $ 33,081 $ (1,128,700) $ 68,048,004 $ (56,728,134) $ 546,237 $ (9,100,000) $ 64,019 $ 1,734,507
Balance (in Shares) at Mar. 31, 2023 33,080,740         (275,347)