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CONVERTIBLE PROMISSORY NOTES PAYABLE (Details Narrative) - USD ($)
3 Months Ended
Jan. 17, 2022
Mar. 31, 2023
Mar. 31, 2022
Dec. 31, 2021
Dec. 31, 2022
Sep. 01, 2022
Apr. 27, 2022
Apr. 14, 2022
Nov. 30, 2021
Oct. 31, 2021
Short-Term Debt [Line Items]                    
Principal amount   $ 1,420,750     $ 1,455,750          
Interest expense   $ 33,399 $ 56,172              
Warrants to purchase         124,223 57,142 111,972 115,540    
Warrant [Member]                    
Short-Term Debt [Line Items]                    
Warrants to purchase       1,800,000            
Warrant [Member] | Lenders [Member]                    
Short-Term Debt [Line Items]                    
Ownership percentage   4.90%                
Common Stock [Member]                    
Short-Term Debt [Line Items]                    
Number of shares issued   160,000,000                
Lenders [Member] | Warrant [Member]                    
Short-Term Debt [Line Items]                    
Warrants to purchase   200,000                
Excise price   $ 1.25                
Excise price, percentage   125.00%                
Investor [Member] | Common Stock [Member]                    
Short-Term Debt [Line Items]                    
Number of shares issued 2,750,000                  
Subscribtion price $ 0.80                  
Gross proceeds $ 2,200,000                  
Exercise price $ 0.88                  
FourthMan[Member]                    
Short-Term Debt [Line Items]                    
Cashless warrant shares exercised               115,540    
Talos [Member]                    
Short-Term Debt [Line Items]                    
Cashless warrant shares exercised             111,972      
BlueLake [Member]                    
Short-Term Debt [Line Items]                    
Cashless warrant shares exercised           57,142        
Seven Convertible Promissory Note [Member]                    
Short-Term Debt [Line Items]                    
Principal amount       $ 2,250,000         $ 2,250,000 $ 2,250,000
Issuance price discounted percentage       90.00%         90.00% 90.00%
Interest rate   8.00%   8.00%         8.00% 8.00%
Debt maturity date, description       October 27, November 5, November 16, November 29 and December 2 of 2022            
Proceeds from debt issuance costs       $ 1,793,000            
Proceeds from debt issuance costs       $ 162,000            
Proceeds from offering costs   $ 15,000,000                
Conversion rate   70.00%                
Conversion price   $ 0.75                
Convertible Notes Payable [Member]                    
Short-Term Debt [Line Items]                    
Default interest rate   16.00%                
Promissory Note [Member] | Lender [Member]                    
Short-Term Debt [Line Items]                    
Percentage of prepayment penalty   10.00%