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Stockholders' Equity - Schedule of Changes in Stockholders' Equity (Details) - USD ($)
3 Months Ended
Mar. 31, 2020
Mar. 31, 2019
Balance $ 283,724 $ (35,048)
Exercise of warrants 1,884,872
Issuance of stock for services 12,500 181,040
Equity based compensation 138,712 136,941
Warrants issued to Management 167,892 758,754
Issuance of stock for capital raise 3,797,800 2,400,000
Warrant Modification 307,460
Conversion of debt 1,313,762  
Interest paid in shares 379,350  
Warrant issued for note extension 75,184  
Net (loss) for the year (743,066) (2,847,262)
Balance 5,444,757 2,786,807
Common Stock [Member]    
Balance $ 130 $ 123
Balance, shares 130,341,737 122,770,960
Exercise of warrants   $ 3
Exercise of warrants, shares   3,141,454
Issuance of stock for services  
Issuance of stock for services, shares   173,446
Equity based compensation  
Warrants issued to Management  
Issuance of stock for capital raise $ 8 $ 4
Issuance of stock for capital raise, shares 7,650,000 4,000,000
Warrant Modification  
Conversion of debt $ 5  
Conversion of debt, shares 4,623,615  
Interest paid in shares  
Interest paid in shares, shares 632,251  
Net (loss) for the year
Balance $ 143 $ 130
Balance, shares 143,247,603 130,085,860
Additional Paid in Capital [Member]    
Balance $ 47,030,716 $ 41,118,649
Exercise of warrants 1,884,869
Issuance of stock for services 12,500 181,040
Equity based compensation 138,712 136,941
Warrants issued to Management 167,892 758,754
Issuance of stock for capital raise 3,797,792 2,399,996
Warrant Modification 18,899 307,460
Conversion of debt 1,313,757  
Interest paid in shares 379,350  
Warrant issued for note extension 75,184  
Net (loss) for the year
Balance 52,934,802 46,787,709
Accumulated (Deficit) [Member]    
Balance (46,747,122) (41,153,820)
Exercise of warrants
Issuance of stock for services
Equity based compensation
Warrants issued to Management
Issuance of stock for capital raise
Warrant Modification
Conversion of debt  
Interest paid in shares  
Warrant issued for note extension  
Net (loss) for the year (743,066) (2,847,262)
Balance $ (47,490,188) $ (44,001,032)