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Note Payable, Net (Details) - USD ($)
1 Months Ended 12 Months Ended
Apr. 02, 2021
Dec. 04, 2020
Dec. 31, 2021
Dec. 31, 2020
Oct. 28, 2021
Note Payable, Net (Details) [Line Items]          
Right to redeem amount   $ 500,000      
Percentage of redemption amount increased   25.00%      
Amortization of OID     $ 168,750 $ 61,895  
Promissory notes principle amount     3,850,000    
Promissory notes adjustment amount     818,914    
Adjustment interest expense     $ 818,914    
Common stock exchange description     The Company and Lender exchanged these Partitioned Notes for the delivery of 576,108 shares of the Company’s common stock.    
Loss on conversion     $ 151,275    
Outstanding principal balance     346,151    
Unamortized OID     69,355    
Debt Instrument, Increase, Accrued Interest     75.87    
Promissory note     38,253,041    
Promissory Notes in December 2020 [Member]          
Note Payable, Net (Details) [Line Items]          
Convertible promissory note amount   $ 3,150,000      
Original issue discount   $ 150,000      
Interest rate   8.00%      
Debt term   24 months      
Increase decrease outstanding balance, percentage   125.00%      
Amortization of OID     75,000    
Interest expense     227,314    
Promissory Notes in April 2021 [Member]          
Note Payable, Net (Details) [Line Items]          
Interest rate 8.00%        
Debt term 24 months        
Increase decrease outstanding balance, percentage 125.00%        
Right to redeem amount $ 825,000        
Percentage of redemption amount increased 25.00%        
Interest expense     333,367    
Promissory notes adjustment amount         $ 1,370,897
Adjustment interest expense         $ 1,370,897
Outstanding principal balance     6,395,292    
Unamortized OID     156,250    
Promissory note $ 5,250,000        
Issue of discount amount $ 250,000        
Amount of amortized OID     93,750    
Interest expense     $ 333,367