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DEBT (Details Narrative) - USD ($)
1 Months Ended 3 Months Ended 12 Months Ended
May 12, 2018
May 12, 2017
May 05, 2017
Apr. 10, 2017
Mar. 16, 2017
Aug. 04, 2016
Oct. 17, 2018
May 31, 2018
Mar. 23, 2017
Mar. 20, 2017
Nov. 16, 2015
Mar. 31, 2019
Dec. 20, 2018
Dec. 31, 2017
Dec. 31, 2018
Mar. 31, 2018
Nov. 16, 2017
Jul. 31, 2017
Jan. 31, 2017
Dec. 31, 2016
Nov. 30, 2016
Oct. 31, 2016
Sep. 30, 2016
Sep. 13, 2016
Debt outstanding amount                       $ 2,127,633     $ 1,514,583                  
Debt discount                       3,169,672     3,350,000                  
Amortization of debt discount                       3,124,058                        
TFF [Member]                                                
Short term debt borrowing capacity                       $ 15,000,000                        
Libor rate description                       (i) all lending in U.S. dollars is the one-month LIBOR plus six (6%) percent margin; and (ii) for all lending in Euro, the one-month Euribor Rate plus six (6%) percent per annum, commencing June 1, 2018                        
CEO [Member]                                                
Percentage of wholly-owned subsidiary shares                       51.00%                        
On April 18, 2018 [Member]                                                
Maturity date                       Dec. 31, 2021                        
Debt outstanding amount                       $ 3,078,442     3,078,442                  
Accrued interest                       $ 473,172     14,830                  
Libor rate description                       Additionally the interest rate was amended such that the interest rate for all advances is 4% plus the 3-Month Libor rate                        
Gain on debt settlement                       $ 23,354                        
Loan Facility July 6, 2017 [Member]                                                
Fees forgiven related to advance                       40,000                        
Loan facility agreement [Member]                                                
Debt discount                       191,034                        
Unamortized debt discount                       $ 20,237                        
Marathon [Member]                                                
Distribution and equity acquisition agreement, description                       As consideration for its services, Company received: (a) a 33 1/3% equity interest or 5 million shares in Marathon as partial consideration for the Company’s distribution services; and (b) received cash of CAD $2,000,000, subject to repayment in Common Shares of the Company if it fails to meet certain performance milestones. The Company is entitled to receive an additional CAD $2,750,000 upon the Company’s receipt of gross sales of CAD $6,500,000 and an additional CAD $2,750,000 upon receipt of gross sales of CAD $13,000,000.                        
Settlement amount                       $ 1,554,590                        
Cash received                       $ 2,000,000                        
Shares issued for settlement of debt                       446,311                        
Panagiotis Drakopoulos [Member] | Loan Agreement [Member]                                                
Short term debt borrowing capacity                     $ 42,832                          
Interest rate                     6.00%                          
Maturity date                     Nov. 15, 2016                          
Debt outstanding amount                       $ 14,596     14,893                  
Accrued interest                       3,851     3,538                  
SkyPharm [Member] | MediHelm S.A. [Member]                                                
Amortization of debt discount                           $ 69,269                    
Origination fees                       137,063                        
SkyPharm [Member] | Loan facility agreement [Member]                                                
Short term debt borrowing capacity           $ 1,292,769                                    
Interest rate           10.00%                                    
Description for the repayment           The amounts owed under the Loan Facility were repayable upon the earlier of (i) three months following the demand of the lender; or (ii) August 31, 2018. No prepayment is permitted pursuant to the terms of the Loan Facility                                    
SkyPharm [Member] | Amendment to loan facility agreement [Member]                                                
Short term debt borrowing capacity                                               $ 1,533,020
Debt outstanding amount                                               $ 240,251
SkyPharm [Member] | Second amendment to loan facility agreement [Member]                                                
Short term debt borrowing capacity                 $ 2,664,960         70,000       $ 382,327 $ 155,516 $ 452,471 $ 250,000 $ 100,000 $ 174,000  
Interest rate                 10.00%                              
Maturity date                 Aug. 04, 2016                              
Debt outstanding amount                           3,117,287                    
Accrued interest                           221,657                    
Description for the repayment                 The amounts owed under the Loan Facility shall be repayable upon the earlier of (i) seventy five days following the demand of the Lender; or (ii) August 31, 2018                              
Common stock shares issuable upon conversion of debt/convertible securities                 1,000,000                              
Debt discount                           $ 42,149           $ 126,624        
SkyPharm [Member] | Bridge Loans [Member]                                                
Short term debt borrowing capacity     $ 34,745   $ 50,000         $ 120,220   50,000                        
Interest rate     10.00%   10.00%         10.00%                            
Maturity date     Sep. 30, 2017   Apr. 16, 2017         Apr. 20, 2017                            
Amended maturity date         May 16, 2017         May 20, 2017                            
Debt outstanding amount         $ 50,000         $ 106,542   106,542                        
Accrued interest         $ 14,138         16,857   20,083                        
Gain on debt settlement                   19,695                            
Additional gain on settlement of debt                   4,668                            
Loan fixed payoff amount                   $ 106,542                            
SkyPharm [Member] | Bridge Loans [Member] | May 5 2017 [Member]                                                
Debt outstanding amount                       34,745     34,745                  
Accrued interest                       4,565     3,906                  
Grigorios Siokas [Member]                                                
Interest rate                         4.70%                      
Accrued interest                         $ 63,371                      
Grigorios Siokas [Member] | Synthesis facility agreement [Member] | Loan facility agreement [Member]                                                
Common stock shares issuable upon conversion of debt/convertible securities           10,000,000                                    
Trade Facility Agreements [Member]                                                
Debt outstanding amount                               $ 5,866,910                
Payment of interest and principal               $ 1,123,600                                
Trade Facility Agreements [Member] | SkyPharm [Member]                                                
Short term debt borrowing capacity   $ 2,245,600                                            
Debt outstanding amount               $ 5,369,678                                
Description for the repayment   The total facility will be calculated as 95% of the agreed upon value of Decahedrons receivables.                                            
Term of credit facility   12 months                                            
Credit facility origination fee, percentage   2.00%                                            
Monthly credit fee, percentage   1.00%                                            
Proceeds from debt $ 247,117                                              
Trade Facility Agreements [Member] | SkyPharm [Member] | Minimum [Member]                                                
Short term debt borrowing capacity                                 $ 2,291,200              
Trade Facility Agreements [Member] | SkyPharm [Member] | Maximum [Member]                                                
Short term debt borrowing capacity                                 $ 6,873,600              
Trade Facility Agreements [Member] | SkyPharm [Member] | Decahedron [Member]                                                
Short term debt borrowing capacity       $ 3,087,700                                        
Description for the repayment       The total facility will be calculated as 95% of the agreed upon value of Decahedrons receivables                                        
Term of credit facility       12 months                                        
Credit facility origination fee, percentage       2.00%                                        
Monthly credit fee, percentage       1.00%                                        
TFF [Member] | Synthesis facility agreement [Member]                                                
Debt outstanding amount             $ 5,629,555                                  
Accrued interest             $ 524,094                                  
Description for amendment to agreement under ASU 470-50             The Company evaluated the amended agreement under ASC 470-50 and concluded that it did not meet the 10% cash flow test and recorded debt modification expense of $138,110                                  
Debt modification expense             $ 138,110                                  
TFF [Member] | Synthesis facility agreement [Member] | Principal balance 1 [Member]                                                
Maturity date             Aug. 31, 2021                                  
Accrued interest                       0     0                  
Debt split, balance             $ 2,000,000         2,245,600     2,291,200                  
Interest rate description             6% per annum plus one-month Euribor, when it is positive, on the Euro balance                                  
Repayment of debt, periodic payments             $ 125,000                                  
Frequency of periodic payments             Quarterly                                  
TFF [Member] | Synthesis facility agreement [Member] | Principal balance 2 [Member]                                                
Maturity date             Aug. 31, 2021                                  
Accrued interest                       17,988     19,834                  
Debt split, balance             $ 4,000,000         $ 4,000,000     $ 4,000,000                  
Interest rate description             6% per annum plus one month Libor on the USD balance                                  
Repayment of debt, periodic payments             $ 150,000                                  
Frequency of periodic payments             Quarterly