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Condensed Consolidated Statements of Changes in Stockholders’ Deficit - USD ($)
Series X
Preferred Stock
Series Y
Preferred Stock
Series B
Preferred Stock
Series C
Preferred Stock
Series Z
Preferred Stock
Common Stock
Common Stock to be Issued
Additional Paid In Capital
Discount on Preferred Stock
Accumulated Deficit
Total
Balance at Dec. 31, 2018   $ 168,707 $ 80 $ 73,770,195 $ (80,775,348) $ (6,836,366)
Balance (in Shares) at Dec. 31, 2018   168,706,472 80,000        
Issuance of common shares previously to be issued   $ 80 $ (80)
Issuance of common shares previously to be issued (in Shares)   80,000 (80,000)        
Issuance of common shares for services rendered           $ 208,700          
Issuance of Series A preferred shares in exchange for warrants canceled   (296,746) (296,746)
Sale of Series B Convertible Preferred Stock and warrants $ 1   1,407,499 1,407,500
Sale of Series B Convertible Preferred Stock and warrants (in Shares) 1,126          
Conversion of Series A Convertible Preferred Stock to common shares   $ 80,000 $ 903,824 2,153,424 3,137,248
Conversion of Series A Convertible Preferred Stock to common shares (in Shares)   80,000,000 903,823,564        
Common shares issued as origination shares   $ 1,250 140,083 141,333
Common shares issued as origination shares (in Shares)   1,250,000        
Common shares issued upon conversion of convertible notes and accrued interest   $ 111,174 $ 37,160 1,583,984 1,732,318
Common shares issued upon conversion of convertible notes and accrued interest (in Shares)   111,174,464 37,160,000        
Cancelation of common shares and warrants in exchange for cash paid per cancelation agreement (in Shares)           3,997,661          
Common shares issued upon exercise of warrants for cash   $ 1,555 $ 1,126 170,268 172,949
Common shares issued upon exercise of warrants for cash (in Shares)   1,555,160 1,126,250        
Common shares issued in settlement of a warrant provision   $ 9,000 428,400 (437,400)
Common shares issued in settlement of a warrant provision (in Shares)   9,000,000        
Common shares issued upon cashless exercise of warrants   $ 3,998 (3,998)
Common shares issued upon cashless exercise of warrants (in Shares)   3,997,661        
Preferred and common shares issued for services $ 1   $ 2,950 $ 2,550 203,199 208,700
Preferred and common shares issued for services (in Shares) 1,000   2,950,000 2,550,000        
Options issued for services   14,000 14,000
Common shares issued to settle a true-up provision   $ 5,553 16,661 22,214
Common shares issued to settle a true-up provision (in Shares)   5,553,191        
Contingent beneficial conversion feature on Preferred Shares issuance   45,147,093 (45,147,093)
Deemed dividend related to warrant price protection   28,933,472 (28,933,472)
Deemed dividend resulting from exchange of preferred Series A and B shares for convertible notes   (1,476,280) (1,476,280)
Preferred Series B shares exchanged for convertible notes $ (1)   (826,883) (826,884)
Preferred Series B shares exchanged for convertible notes (in Shares) (1,126)          
Net income (loss)     (34,268,912) (34,268,912)
Balance at Dec. 31, 2019 $ 1   $ 384,267 $ 944,660 151,364,371 (189,562,225) (36,868,926)
Balance (in Shares) at Dec. 31, 2019 1,000   384,266,948 944,659,814        
Issuance of common shares previously to be issued       $ 37,160 $ (37,160)  
Issuance of common shares previously to be issued (in Shares)       37,160,000 (37,160,000)        
Common shares issued upon conversion of convertible notes and accrued interest       $ 72,369 298,386   370,755
Common shares issued upon conversion of convertible notes and accrued interest (in Shares)       72,368,457        
Common shares contributed back to the Company and promptly retired       $ (69) 69  
Common shares contributed back to the Company and promptly retired (in Shares)       (69,000)        
Deemed dividend related to warrant price protection       95,002,933   (95,002,933)
Net income (loss)         (47,402,959) (47,402,959)
Balance at Sep. 30, 2020     $ 1   $ 493,727 $ 907,500 246,665,759   (331,968,117) (83,901,130)
Balance (in Shares) at Sep. 30, 2020     1,000   493,726,405 907,499,814        
Balance at Dec. 31, 2019 $ 1   $ 384,267 $ 944,660 151,364,371 (189,562,225) (36,868,926)
Balance (in Shares) at Dec. 31, 2019 1,000   384,266,948 944,659,814        
Issuance of common shares previously to be issued   $ 37,160 $ (37,160)
Issuance of common shares previously to be issued (in Shares)   37,160,000 (37,160,000)        
Issuance of common shares for services rendered           $ 72,369          
Common shares issued as origination shares                    
Common shares issued upon conversion of convertible notes and accrued interest   $ 72,369 298,386 370,755
Common shares issued upon conversion of convertible notes and accrued interest (in Shares)   72,368,457        
Common shares contributed back to the Company and promptly retired   $ (69) 69
Common shares contributed back to the Company and promptly retired (in Shares)   (69,000)        
Rescission of warrants exercised in prior year   $ (120) (5,880) (6,000)
Rescission of warrants exercised in prior year (in Shares)   (120,000)        
Deemed dividend related to warrant price protection   95,838,488 (95,838,488)
Convertible note issued to CFO with BCF   64,143 64,143
Sale of Series X preferred shares   321,000 321,000
Sale of Series X preferred shares (in Shares) 16.05          
BCF recognized upon issuance of Series X preferred shares   454,200 (454,200)
Series Y preferred shares issued in exchange for convertible notes, accrued interest and warrants $ 1   13,095,635 13,095,636
Series Y preferred shares issued in exchange for convertible notes, accrued interest and warrants (in Shares) 654.781794          
BCF recognized upon issuance of Series Y preferred shares   21,594,115 (21,594,115)
Deemed dividend resulting from amortization of preferred stock discount   1,074,539 (1,074,539)
Net income (loss)     (14,710,460) (14,710,460)
Balance at Dec. 31, 2020 $ 1 $ 1 $ 493,727 $ 907,380 283,024,527 (20,973,776) (301,185,712) (37,733,852)
Balance (in Shares) at Dec. 31, 2020 16.05 654.781794 1,000 493,726,405 907,379,814        
Balance at Jun. 30, 2020     $ 1   $ 493,727 $ 907,500 246,665,759   (396,647,339) (148,580,352)
Balance (in Shares) at Jun. 30, 2020     1,000   493,726,405 907,499,814        
Net income (loss)         64,679,222 64,679,222
Balance at Sep. 30, 2020     $ 1   $ 493,727 $ 907,500 246,665,759   (331,968,117) (83,901,130)
Balance (in Shares) at Sep. 30, 2020     1,000   493,726,405 907,499,814        
Balance at Dec. 31, 2020 $ 1 $ 1 $ 493,727 $ 907,380 283,024,527 (20,973,776) (301,185,712) (37,733,852)
Balance (in Shares) at Dec. 31, 2020 16.05 654.781794 1,000 493,726,405 907,379,814        
Issuance of common shares previously to be issued   $ 1,006 $ (1,006)
Issuance of common shares previously to be issued (in Shares)   1,006,250 (1,006,250)        
Issuance of common shares for services rendered   $ 2,175 164,680 166,855
Issuance of common shares for services rendered (in Shares)   2,175,431        
Common shares issued upon conversion of convertible notes and accrued interest   $ 4,448 128,554 133,002
Common shares issued upon conversion of convertible notes and accrued interest (in Shares)   4,448,251        
Cancelation of common shares and warrants in exchange for cash paid per cancelation agreement   $ (1,485) (9,515) (11,000)
Cancelation of common shares and warrants in exchange for cash paid per cancelation agreement (in Shares)   (1,485,000)        
Common shares contributed back to the Company and promptly retired                     390,269
Sale of Series X preferred shares   200,000 200,000
Sale of Series X preferred shares (in Shares) 10          
BCF recognized upon issuance of Series X preferred shares   2,852,500 (2,852,500)
Series Y preferred shares issued in exchange for convertible notes, accrued interest and warrants   1,314,678 1,314,678
Series Y preferred shares issued in exchange for convertible notes, accrued interest and warrants (in Shares) 65.73388          
BCF recognized upon issuance of Series Y preferred shares   10,972,647 (10,972,647)
Deemed dividend resulting from amortization of preferred stock discount   34,798,923 (34,798,923)
Series Z preferred shares issued as equity kicker for note payable   867,213 867,213
Series Z preferred shares issued as equity kicker for note payable (in Shares)   250        
Series Z preferred shares issued as part of settlement agmt   $ 1 6,530,867 6,530,868
Series Z preferred shares issued as part of settlement agmt (in Shares)   250        
Net income (loss)   10,864,149 10,864,149
Balance at Sep. 30, 2021 $ 1   $ 1 $ 1 $ 499,871 $ 906,374 306,046,151 (325,120,486) (17,668,087)
Balance (in Shares) at Sep. 30, 2021 26.05 720.515674   1,000 500 499,871,337 906,373,564        
Balance at Jun. 30, 2021 $ 1   $ 1 $ 499,871 $ 906,374 298,648,071 (324,596,745) (24,542,427)
Balance (in Shares) at Jun. 30, 2021 26.05 720.515674   1,000 499,871,337 906,373,564        
Series Z preferred shares issued as equity kicker for note payable   867,213 867,213
Series Z preferred shares issued as equity kicker for note payable (in Shares)   250        
Series Z preferred shares issued as part of settlement agmt   $ 1 6,530,867 6,530,868
Series Z preferred shares issued as part of settlement agmt (in Shares)   250        
Net income (loss)     (523,741) (523,741)
Balance at Sep. 30, 2021 $ 1   $ 1 $ 1 $ 499,871 $ 906,374 $ 306,046,151 $ (325,120,486) $ (17,668,087)
Balance (in Shares) at Sep. 30, 2021 26.05 720.515674   1,000 500 499,871,337 906,373,564