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RESTATEMENT (Details 2) - USD ($)
6 Months Ended 12 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Dec. 31, 2021
Dec. 31, 2020
Net cash provided by Financing Activities $ (533,723) $ (18,281) $ (856,787) $ 5,911,628
Cash - Beginning of period 326,714 0 326,714 0
Cash - End of period 540,101 503,470 615,749 326,714
Net cash used in Operating Activities 462,270 (200,783) 1,375,287 (1,525,198)
Net Cash Used In Investing Activities (4,195) (5,745) (229,465) (4,059,716)
Cash At The Beginning Of Period 326,714   326,714  
Restated [Member]        
Net cash provided by Operating Activities     1,375,287 (1,525,198)
Net Cash Provided by Investing Activities     (229,465) (4,059,716)
Net cash provided by Financing Activities     (856,787) 5,911,628
Cash - Beginning of period 326,714 0 326,714 0
Net cash increase for period     289,035 326,714
Cash - End of period     615,749 326,714
Net cash used in Operating Activities     1,375,287 (1,525,198)
Net Cash Used In Investing Activities     (229,465) (4,059,716)
Previously Reported [Member]        
Net cash provided by Operating Activities     1,311,254 (1,328,899)
Net Cash Provided by Investing Activities     (136,677) (4,256,015)
Net cash provided by Financing Activities     (885,541) 5,911,628
Cash - Beginning of period 326,714 $ 0 326,714 0
Net cash increase for period     289,035 326,714
Cash - End of period     615,749 326,714
Net cash used in Operating Activities     1,311,254 (1,355,308)
Net Cash Used In Investing Activities     (136,677) (4,229,606)
Adjustment [Member]        
Net cash provided by Financing Activities     28,754  
Cash - Beginning of period 0   0  
Net cash increase for period     0 0
Cash - End of period     0 0
Net cash used in Operating Activities     64,033 (196,299)
Net Cash Used In Investing Activities     (92,788) $ 196,299
Cash At The Beginning Of Period $ 0   $ 0