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Condensed Consolidated Statements of Cash Flows (Unaudited) - USD ($)
6 Months Ended
Jun. 30, 2020
Jun. 30, 2019
Statement of Cash Flows [Abstract]    
Net Cash (used for) Operating Activities $ (1,930,045) $ (2,354,225)
Investing Activities    
Purchase of property and equipment (34,365) (319,157)
Purchase of Intangibles (4,293) (182)
Net Cash (used for) Investing Activities (38,658) (319,339)
Financing Activities    
Cash received for Warrant Exercises 1,500,310
Cash received for Stock 3,825,000 2,400,000
Proceeds from notes payable 568,131
Repayment of convertible notes (90,166)
Payments of operating leases (27,360)
Net Cash from Financing Activities 4,275,605 3,900,310
Net Change in Cash and Restricted Cash 2,306,902 1,226,746
Cash and Restricted Cash, Beginning of Year 1,091,374 1,041,569
Cash and Restricted Cash, End of Year 3,398,276 2,268,315
Non-Cash Financing and Investing Activities    
Property and equipment included in accounts payable 12,661
Convertible note principal and interest settled through warrant exercise 384,563
Operating lease right of use asset 241,555
Executive Deferred Compensation settled through issuance of warrants 167,892
Net carrying value of convertible notes and accrued interest settled through issuance of stock (debt extinguishment) 1,770,963
Accrued interest settled through issuance of stock 379,350
Debt discount warrant and derivative liability 107,611
Offering and debt issuance costs included in accounts payable $ 39,208