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Schedule of Error Corrections And Prior Period Adjustments (Details) (Parenthetical) - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Derivatives loss $ 2,216,488 $ (189,000)  
Additional Paid-in Capital [Member]      
Stock compensation   7,843,052 $ 8,009,461
Accrued dividends   402,064  
Issuance cost   174,082  
Warrants   416,266  
Warrants from liability   881,554  
Debt instrument   2,213,498  
Increase decrease of notes payable     7,351
Increase decrease in preferred stock     89,118
Retained Earnings [Member]      
Stock compensation   8,009,461 8,009,461
Accrued dividends   402,064  
Issuance cost   166,407 55,182
Fair value of warrants   240,930 240,930
Derivatives loss   296,151  
Net income loss   $ 1,967,621  
Increase decrease of notes payable     274,048
Increase decrease in preferred stock     89,118
Dividend liability     $ 331,059