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Debt (Details Narrative) (10-K) - USD ($)
1 Months Ended 9 Months Ended 12 Months Ended
Mar. 05, 2021
Jul. 02, 2020
Feb. 28, 2021
Dec. 31, 2020
May 31, 2020
Mar. 31, 2021
Mar. 31, 2020
Jun. 30, 2020
Jun. 30, 2019
Jun. 30, 2019
Stock issued during period value           $ 346,010   $ 7,000 $ 2,010,367  
Proceeds from debt           623,828 548,885  
Convertible Promissory Notes [Member]                    
Proceeds from issuance of unsecured debt               $ 1,330,000    
Debt instrument term               3 years    
Stock issued during period shares               45,000    
Stock issued during period value               $ 170,000    
Interest expense debt               $ 24,000    
Debt interest payment description               During the third year of the Notes, interest will be paid monthly in either cash or Company common stock (at a fixed price of $4.50/share) at the Note holder's option on any unpaid principal outstanding.    
Debt conversion converted instrument shares               295,000    
Debt maturity date               Dec. 31, 2022    
Convertible Promissory Notes [Member]                    
Proceeds from issuance of unsecured debt $ 1,475,000             $ 1,330,000    
Debt instrument term 2 years             3 years    
Debt instrument face amount           $ 1,330,000        
Stock issued during period shares 44,000         332,000   45,000    
Share issued price per share $ 5.00             $ 4.50    
Stock issued during period value $ 192,000         $ 1,220,000   $ 170,000    
Original issue discount on notes           $ 96,900   $ 149,000    
Debt instrument interest rate percentage 10.00%             10.00%    
Debt instrument conversion price per share $ 5.00         $ 4.00   $ 4.50    
Debt interest payment description               During the term into common stock of the Company at a fixed price of $4.50/share, or approximately 295,000 shares of common stock upon full conversion.    
Debt conversion converted instrument shares 295,000             295,000    
Debt maturity date Mar. 05, 2023                  
Convertible Promissory Notes [Member] | Subsequent Event [Member]                    
Proceeds from issuance of unsecured debt $ 1,475,000                  
Debt instrument term 2 years                  
Debt instrument face amount       $ 1,330,000            
Stock issued during period shares 44,000                  
Share issued price per share $ 5.00                  
Stock issued during period value $ 222,000                  
Debt instrument interest rate percentage 10.00%                  
Debt instrument conversion price per share $ 5.00     $ 4.00            
Debt conversion converted instrument shares 295,000     300,000            
Debt maturity date Mar. 05, 2023                  
Debt conversion converted instrument amount   $ 1,220,000   $ 1,220,000            
Convertible Promissory Notes [Member] | First Two Years of Interest Prepayment [Member]                    
Stock issued during period shares               57,000    
Share issued price per share               $ 4.50    
Stock issued during period value               $ 258,000    
Convertible Promissory Notes [Member] | Executives and Independent Members [Member]                    
Debt instrument face amount               $ 200,000    
Paycheck Protection Program [Member]                    
Debt instrument interest rate percentage     1.00%              
Proceeds from debt     $ 620,000   $ 550,000          
Paycheck Protection Program [Member] | Subsequent Event [Member]                    
Debt instrument interest rate percentage     1.00%              
Proceeds from debt     $ 620,000              
Economic Injury Disaster Loan [Member]                    
Proceeds from debt         $ 10,000