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Commitments (Details) - Schedule of maturities of the operating lease liabilities
Mar. 31, 2021
USD ($)
Schedule of maturities of the operating lease liabilities [Abstract]  
2021 $ 724,240
2022 672,328
2023 129,101
Total undiscounted cash flows 1,525,669
Less: imputed interest (88,934)
Present value of lease liabilities $ 1,436,735