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Loans and Notes Payable (Tables)
3 Months Ended
Mar. 31, 2022
Debt Disclosure [Abstract]  
Schedule of loans and notes payable
          
   March 31,   December 31, 
   2022   2021 
Various promissory notes and convertible notes   $50,960   $50,960 
Novus Capital Group LLC Note    387,223    378,854 
Triple T Notes    362,106    353,330 
National Buick GMC    18,470    19,440 
Various Convertible Bridge Notes (a)       1,075,813 
Blue Ridge Bank    410,200    410,200 
Small Business Administration    321,456    318,175 
JP Morgan Chase Bank    90,645    90,645 
Various Promissory Notes (b)   1,852,540    3,416,379 
Total Notes Payable  $3,493,600   $6,113,796 
           
Loans and notes payable, current  $806,109   $1,511,447 
Loans and notes payable, current attributed to variable interest entity   1,852,540    3,416,379 
Loans and notes payable, long term  $834,951   $1,185,970 
Schedule of maturities of loans and notes payable
     
2022 $ 2,542,663  
2023   415,102  
2024   52,996  
2025   52,996  
2026   52,996  
Thereafter   376,847  
Total $ 3,493,600