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Condensed Consolidated Statements of Stockholders' Equity (Deficit) - USD ($)
Preferred Stock [Member]
Preferred Stock [Member]
Successor [Member]
Common Stock [Member]
Common Stock [Member]
Successor [Member]
Common Stock [Member]
Family Health Advisors, Inc [Member]
Predecessor [Member]
Common Stock [Member]
Employee Benefit Solutions, Inc [Member]
Predecessor [Member]
Common Stock Issuable [Member]
Common Stock Issuable [Member]
Successor [Member]
Additional Paid-in Capital [Member]
Additional Paid-in Capital [Member]
Successor [Member]
Additional Paid-in Capital [Member]
Family Health Advisors, Inc [Member]
Predecessor [Member]
Additional Paid-in Capital [Member]
Employee Benefit Solutions, Inc [Member]
Predecessor [Member]
Retained Earnings (Accumulated Deficit) [Member]
Retained Earnings (Accumulated Deficit) [Member]
Successor [Member]
Retained Earnings (Accumulated Deficit) [Member]
Family Health Advisors, Inc [Member]
Predecessor [Member]
Retained Earnings (Accumulated Deficit) [Member]
Employee Benefit Solutions, Inc [Member]
Predecessor [Member]
Total
Successor [Member]
Predecessor [Member]
Predecessors [Member]
Member's Equity
Tri Star Benefits, LLC [Member]
Predecessor [Member]
Ending balance at Dec. 31, 2017                 $ 1,000 $ 17,485     $ 870 $ (222,728)       $ (184,036) $ 19,337
Ending balance, shares at Dec. 31, 2017         10,000 100                              
Distributions                           (18,500) (18,500)
Dividends                 (1,000)     (42,234) (4,920)       (48,154)
Net income (loss)                     19,832 18,758     $ 58,321 58,321 19,731
Ending balance at Jul. 31, 2018   $ 50,000   $ 146,993     $ 3,993,371 17,485   $ (4,132,509) (21,532) (208,890)   $ 57,855   (192,369) 20,568
Ending balance, shares at Jul. 31, 2018   50,000,000   146,993,149 1,000 100                            
Beginning balance at Dec. 31, 2017                 1,000 17,485     870 (222,728)       (184,036) 19,337
Beginning balance, shares at Dec. 31, 2017         10,000 100                              
Common stock issuable related to UIS business acquisition                                 $ 120,000        
Common stock issuable related to UIS business acquisition, shares                                 761,905        
Ending balance at Dec. 31, 2018 $ 40,000 $ 40,000 $ 265,699 $ 265,699     $ 4,682,045 4,682,045     $ (5,287,795) (5,287,795)     $ (300,051) (300,051)      
Ending balance, shares at Dec. 31, 2018 40,000,000 40,000,000 265,699,106 265,699,106                              
Beginning balance at Jul. 31, 2018   $ 50,000   $ 146,993     3,993,371 $ 17,485   (4,132,509) $ (21,532) $ (208,890)   57,855   $ (192,369) $ 20,568
Beginning balance, shares at Jul. 31, 2018   50,000,000   146,993,149 1,000 100                            
Shares issued pursuant to business acquisitions     $ 16,400         (74,255)             (57,855)      
Shares issued pursuant to business acquisitions, shares     16,400,000                                
Shares issued pursuant to settlement agreement     $ 2,306         304,675             306,981      
Shares issued pursuant to settlement agreement, shares     2,305,957                                
Share based compensation             89,950             89,950      
Stock issued for services             458,304             458,304      
Stock issued for services, shares                                    
Conversion of preferred stock   $ (10,000)   $ 100,000         (90,000)                  
Conversion of preferred stock, shares   (10,000,000)   100,000,000                                
Net income (loss)                   (1,155,286)       (1,155,286)      
Ending balance at Dec. 31, 2018 $ 40,000 $ 40,000 $ 265,699 $ 265,699     4,682,045 4,682,045     (5,287,795) (5,287,795)     (300,051) (300,051)      
Ending balance, shares at Dec. 31, 2018 40,000,000 40,000,000 265,699,106 265,699,106                              
Shares issued pursuant to business acquisitions   $ 14,747         2,553,617             2,568,364        
Shares issued pursuant to business acquisitions, shares   14,746,592                                  
Share based compensation           581,999             581,999        
Stock issued for services                                    
Conversion of preferred stock $ (6,088)   $ 60,880         (54,792)                    
Conversion of preferred stock, shares (6,088,009)   60,880,088                                  
Shares issued to Reliance Global Holdings, LLC, related party, for transfer of ownership of SWMT and FIS   $ 14,839         (14,839)                    
Shares issued to Reliance Global Holdings, LLC, related party, for transfer of ownership of SWMT and FIS, shares   14,839,011                                  
Common stock issuable related to business acquisition         $ 340,000               340,000        
Common stock issuable related to business acquisition, shares         2,375,000                            
Common stock issuable related to software purchase         $ 482,116               482,116        
Common stock issuable related to software purchase, shares         2,000,000                            
Shares cancelled pursuant to issuance of common stock for business acquisition   $ (576)         576                    
Shares cancelled pursuant to issuance of common stock for business acquisition, shares   (576,489)                                  
Shares cancelled pursuant to issuance of common stock for business acquisition   $ (2,846)         2,846                    
Shares cancelled pursuant to issuance of common stock for business acquisition, shares   (2,845,760)                                  
Net income (loss)                 (1,734,815)       (1,734,815)        
Ending balance at Sep. 30, 2019 $ 33,912   $ 352,743       $ 822,116   7,751,452       (7,022,610)       1,937,613        
Ending balance, shares at Sep. 30, 2019 33,911,991   352,742,548       4,375,000                            
Beginning balance at Dec. 31, 2018 $ 40,000 $ 40,000 $ 265,699 $ 265,699     4,682,045 4,682,045     (5,287,795) (5,287,795)     (300,051) (300,051)      
Beginning balance, shares at Dec. 31, 2018 40,000,000 40,000,000 265,699,106 265,699,106                              
Shares issued pursuant to business acquisitions     $ 14,747         2,553,617             2,568,364      
Shares issued pursuant to business acquisitions, shares     14,746,592                                
Shares issued pursuant to settlement agreement                                        
Share based compensation             1,047,376             1,047,376      
Conversion of preferred stock   $ (6,088)   $ 60,880         (54,792)                  
Conversion of preferred stock, shares   (6,088,009)   60,880,088                                  
Shares issued to Reliance Global Holdings, LLC, related party, for transfer of ownership of SWMT and FIS     $ 14,839         (14,839)                  
Shares issued to Reliance Global Holdings, LLC, related party, for transfer of ownership of SWMT and FIS, shares     14,839,011                                
Shares cancelled pursuant to settlement agreement     $ (576)         576                  
Shares cancelled pursuant to settlement agreement, shares     (576,489)                                
Common stock issuable related to business acquisition           $ 482,116               482,116      
Common stock issuable related to business acquisition, shares           2,375,000                          
Common stock issuable related to software purchase           $ 340,000               340,000      
Common stock issuable related to software purchase, shares           2,000,000                          
Shares cancelled pursuant to issuance of common stock for business acquisition     $ (2,846)         2,846                  
Shares cancelled pursuant to issuance of common stock for business acquisition, shares     (2,845,760)                                
Net income (loss)                   (3,495,481)       (3,495,481)      
Ending balance at Dec. 31, 2019 $ 33,912 $ 33,912 $ 352,743 $ 352,743     $ 822,116 $ 822,116 8,216,829 $ 8,216,829     (8,783,276) $ (8,783,276)     642,324 $ 642,324      
Ending balance, shares at Dec. 31, 2019 33,911,991 33,911,991 352,742,548 352,742,548     4,375,000 4,375,000                          
Share based compensation           1,063,777             1,063,777        
Shares issued pursuant to investment in NSURE, Inc.   $ 4,000         996,000             1,000,000        
Shares issued pursuant to investment in NSURE, Inc., shares   4,000,000                                  
Common Stock Issued due to Stock Purchase Agreement   $ 2,667         197,333             200,000        
Common Stock Issued due to Stock Purchase Agreement, shares   2,666,668                                  
Common Stock issued due to Earnout Agreement   $ 1,875         298,125             300,000        
Common Stock issued due to Earnout Agreement, shares   1,875,000                                  
Common stock issuable related to UIS business acquisition   $ 1,538         198,462             200,000        
Common stock issuable related to UIS business acquisition, shares   1,538,000                                  
Shares issued upon termination of employee   $ 694         165,973             166,667        
Shares issued upon termination of employee, shares   694,444                                  
Net income (loss)                 (3,349,778)       (3,349,778)        
Ending balance at Sep. 30, 2020 $ 33,912   $ 363,517       $ 822,116   $ 11,136,499       $ (12,133,054)       $ 222,990        
Ending balance, shares at Sep. 30, 2020 33,911,991   363,516,660       4,375,000