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Loans and Notes Payable (Tables)
12 Months Ended
Dec. 31, 2021
Debt Disclosure [Abstract]  
Schedule of loans and notes payable
          
   December 31, 
   2021   2020 
Various promissory notes and convertible notes (a)  $50,960   $50,960 
Novus Capital Group LLC Note (b)   378,854    363,231 
Triple T Notes (c)   353,330    295,543 
National Buick GMC (d)   19,440    25,643 
Various Convertible Bridge Notes ( e)   1,075,813    774,522 
Blue Ridge Bank (f)   410,200    205,100 
Small Business Administration (g)   318,175    305,054 
JP Morgan Chase Bank (h)   90,645    90,645 
Various Promissory Notes (i)   3,416,379    735,000 
Total Notes Payable  $6,113,796   $2,845,698 
           
Loans and notes payable, current  $1,511,447   $1,196,037 
Loans and notes payable, current attributed to variable interest entity   3,416,379    735,000 
Loans and notes payable, long term  $1,185,970   $914,661 
Schedule of maturities of loans and notes payable
     
2022  $5,173,946 
2023   

406,326

 
2024   52,996 
2025   52,996 
2026   52,996 
Thereafter
   374,536 
Total  $6,113,796