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Liquidity and Management's Plans (Details Narrative) - USD ($)
12 Months Ended 111 Months Ended
Dec. 31, 2020
Mar. 31, 2021
Cash through issuance of debt and equity securities   $ 18,600,000
Cash $ 1,907,882 2,003,052
Net working capital   455,067
Accumulated deficit (22,996,267) $ (22,153,495)
Proceeds from private placement 3,500,000  
Debt instrument, coversion of debt $ 6,000,000  
Conversion price $ 4.00  
Proceeds from issuance promissory notes $ 2,000,000  
Interest rate 12.00%  
Maturity date Feb. 28, 2023  
Reduced outstanding debt $ 3,000,000  
PPP Loan [Member]    
Proceeds from loan $ 838,700