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SUMMARY OF OUTSTANDING PROMISSORY NOTES (Details) - USD ($)
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Short-Term Debt [Line Items]    
Principal amount $ 2,250,000  
Net proceeds $ 1,793,000  
Warrants shares 1,800,000  
Debt discounts $ (225,000)  
Amortization of discounts 5,550  
Convertible promissory notes payable $ 2,030,550
Convertible Note- Tarlos Victory [Member]    
Short-Term Debt [Line Items]    
Interest rate 8.00%  
Principal amount $ 250,000  
Net proceeds $ 197,000  
Warrants shares 200,000  
Maturity date Oct. 27, 2022  
Convertible Note-Mast Hill [Member]    
Short-Term Debt [Line Items]    
Interest rate 8.00%  
Principal amount $ 750,000  
Net proceeds $ 601,000  
Warrants shares 600,000  
Maturity date Nov. 05, 2022  
Convertible Note-First Fire [Member]    
Short-Term Debt [Line Items]    
Interest rate 8.00%  
Principal amount $ 250,000  
Net proceeds $ 197,000  
Warrants shares 200,000  
Maturity date Nov. 16, 2022  
Convertible Note-LGH [Member]    
Short-Term Debt [Line Items]    
Interest rate 8.00%  
Principal amount $ 250,000  
Net proceeds $ 207,000  
Warrants shares 200,000  
Maturity date Nov. 24, 2022  
Convertible Note -Fourth Man [Member]    
Short-Term Debt [Line Items]    
Interest rate 8.00%  
Principal amount $ 250,000  
Net proceeds $ 197,000  
Warrants shares 200,000  
Maturity date Nov. 29, 2022  
Convertible Note-Jeffery Street [Member]    
Short-Term Debt [Line Items]    
Interest rate 8.00%  
Principal amount $ 250,000  
Net proceeds $ 197,000  
Warrants shares 200,000  
Maturity date Dec. 02, 2022  
Convertible Note -Blue Lake [Member]    
Short-Term Debt [Line Items]    
Interest rate 8.00%  
Principal amount $ 250,000  
Net proceeds $ 197,000  
Warrants shares 200,000  
Maturity date Dec. 02, 2022