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Consolidated Statements of Stockholders Deficit - USD ($)
Common Stock [Member]
Preferred Stock [Member]
Common Stock To Be Issued [Member]
Additional Paid-in Capital [Member]
Subscription Interest [Member]
Statutory Reserve Production Safety Reserve [Member]
AOCI Attributable to Parent [Member]
Retained Earnings [Member]
Noncontrolling Interest [Member]
Total
Beginning balance, value at Dec. 31, 2019 $ 18,848 $ 650,000 $ 8,294,392 $ (14,215,718) $ (5,252,478)
Beginning balance, shares at Dec. 31, 2019 18,847,691 6,500                
Shares issued for debt conversion $ 393 204,836 205,229
Shares issued for debt conversion, shares 393,380                  
Shares issued for cash $ 1,094 1,131,749         1,132,843
Shares issued for cash, shares 1,094,057                  
Preferred conversions $ 125 $ (200,000)   199,875      
Preferred conversions, shares 125,000 (2,000)                
Commitment fee shares $ 69   25,000 50,350         75,419
Commitment fee shares, shares 69,113                  
Common share subscriptions 36,179           36,179
Net Loss (3,435,764) (3,435,764)
Ending balance, value at Dec. 31, 2020 $ 20,529 $ 450,000 61,179 9,881,202 (17,651,482) $ (7,238,572)
Ending balance, shares at Dec. 31, 2020 20,529,241 4,500                
Shares issued for debt conversion, shares                   12,071,756
Shares issued for cash $ 1,106 (36,179) 3,119,112           $ 3,084,039
Shares issued for cash, shares 1,106,233                 245,844
Net Loss 297,551 (19,059) $ 278,492
Shares issued for warrant conversion $ 59 (59)         (0)
Shares issued for warrant conversion, shares 58,633                  
Shares issued for acccrued dividend $ 109 347,430         347,539
Shares issued for acccrued dividend, shares 108,606                  
Conversion of Preferred Series D $ 166 $ (450,000) 449,834          
Conversion of Preferred Series D, shares 165,625 (4,500)                
Inducement Shares $ 60 (25,000) 79,206       54,266
Inducement Shares, shares 59,811                  
Shares issued for correction $ 28     (28)           (0)
Shares issued for correction, shares 27,516                  
Shares for Conversion $ 625     74,848           75,473
Shares for Conversion, shares 625,000                  
Shares issued for Reg A offering $ 417     499,583           500,000
Shares issued for Reg A offering, shares 416,667                  
Shares issued for S1 $ 246     390,105           390,351
Shares issued for S1, shares 246,052                  
Shares issued for Reg A $ 246     786,454           786,700
Shares issued for Reg A, shares 245,844                  
Starting balance CETY HK       70,000       (70,000)  
Starting balance CETY HK                  
Ending balance, value at Dec. 31, 2021 $ 23,589 15,697,688 (17,423,931) (19,059) (1,721,712)
Ending balance, shares at Dec. 31, 2021 23,589,229                
Net Loss (112,589) (112,589)
Shares issued for Reg A offering $ 376     1,202,424           1,202,800
Shares issued for Reg A offering, shares 375,875                  
Shares issued for S1 $ 79     137,831           137,910
Shares issued for S1, shares 78,897                  
Subscription Receivable         (18,800)         (18,800)
Accumulated Comprehensive             4,562     4,562
Ending balance, value at Mar. 31, 2022 $ 24,044 17,037,943 (18,800) 4,562 (17,536,520) (19,059) (507,831)
Ending balance, shares at Mar. 31, 2022 24,044,000                
Beginning balance, value at Dec. 31, 2021 $ 23,589 15,697,688 (17,423,931) (19,059) (1,721,712)
Beginning balance, shares at Dec. 31, 2021 23,589,229                
Net Loss                   (1,322,861)
Ending balance, value at Sep. 30, 2022 $ 37,074 19,136,170 (243,136) (18,763,939) 166,173
Ending balance, shares at Sep. 30, 2022 37,074,432                
Beginning balance, value at Mar. 31, 2022 $ 24,044 17,037,943 (18,800) 4,562 (17,536,520) (19,059) (507,831)
Beginning balance, shares at Mar. 31, 2022 24,044,000                
Net Loss (346,943) (346,943)
Shares issued for Reg A offering              
Shares issued for S1 $ 123     153,112           153,235
Shares issued for S1, shares 122,898                  
Subscription Receivable                
Accumulated Comprehensive             (113,666)     (113,666)
Warrants issued Mast Hill fund       168,296           168,296
Statutory Reserve - Production Safety Reserve                
Ending balance, value at Jun. 30, 2022 $ 24,167 17,359,351 (18,800) (109,104) (17,883,464) (19,059) $ (646,909)
Ending balance, shares at Jun. 30, 2022 24,166,899                
Shares issued for debt conversion, shares                   2,100,402
Net Loss (880,474) 19,060 $ (861,415)
Subscription Receivable         18,800         18,800
Accumulated Comprehensive             (134,031)     (134,031)
Statutory Reserve - Production Safety Reserve                  
Shares issued MGW Note Conversion $ 12,908     1,535,996           1,548,904
Shares issued MGW Note Conversion, shares 12,907,534                  
Warrants issued Q3 Bridge Financing       240,824           240,824
Ending balance, value at Sep. 30, 2022 $ 37,074 $ 19,136,170 $ (243,136) $ (18,763,939) $ 166,173
Ending balance, shares at Sep. 30, 2022 37,074,432