Debt - Schedule of Short Term Notes (Details) (Parenthetical) - USD ($)
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1 Months Ended |
3 Months Ended |
9 Months Ended |
12 Months Ended |
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Sep. 18, 2019 |
Aug. 21, 2019 |
Jul. 18, 2019 |
Jul. 02, 2019 |
Feb. 01, 2019 |
Feb. 27, 2018 |
Jan. 26, 2018 |
Nov. 20, 2017 |
Nov. 06, 2017 |
Oct. 13, 2017 |
Sep. 13, 2017 |
Sep. 30, 2018 |
Sep. 30, 2019 |
Mar. 31, 2019 |
Sep. 30, 2018 |
Mar. 31, 2018 |
Sep. 30, 2019 |
Dec. 31, 2018 |
Dec. 31, 2017 |
Jun. 30, 2019 |
Jun. 02, 2018 |
Short-term Debt [Line Items] |
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Number of shares issued during the period, value |
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$ 300,000
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$ 120,000
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Secured Short Term Note Payable Dated September 13, 2017 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument term |
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60 days
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Debt instrument, fee amount |
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$ 24,000
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Debt instrument fee, description |
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The note requires a one-time fee in the amount of $15,000 to compensate for the first two weeks of the term and each week thereafter (weeks 3-8) a fee of $1,500 shall be due and owing accruing on the first day of the week. The total one-time fee paid was $24,000. A fee of 100,000 shares of restricted common stock shall be issued as a penalty for each month or prorated for any two-week portion of any month the note is outstanding past the original maturity date for months 3 through 6, and a fee of 200,000 shares of restricted common stock shall be issued to lender for each month or prorated for each two-week portion of any month the note is outstanding past the original maturity date beginning in month 7 until paid in full.
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Number of shares issued during the period |
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200,000
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2,300,000
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Number of shares issued during the period, value |
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$ 19,000
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$ 667,800
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Secured Short Term Note Payable Dated September 13, 2017 [Member] | Past Original Maturity for Months 3 Through 6 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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100,000
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Secured Short Term Note Payable Dated September 13, 2017 [Member] | Past Original Maturity Beginning in Month 7 Until Paid in Full [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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200,000
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Secured Short Term Note Payable Dated September 13, 2017 [Member] | First Two Weeks [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 15,000
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Secured Short Term Note Payable Dated September 13, 2017 [Member] | Week 3-8 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 1,500
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Secured Short Term Note Payable Dated October 13, 2017 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument term |
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60 days
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Debt instrument, fee amount |
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$ 6,400
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Debt instrument fee, description |
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The note requires a one-time fee in the amount of $4,000 to compensate for the first two weeks of the term and each week thereafter (weeks 3-8) a fee of $400 shall be due and owing accruing on the first day of the week. The total one-time fee paid was $6,400. A fee of 40,000 shares of restricted common stock shall be issued as a penalty for each month or prorated for any two-week portion of any month the note is outstanding past the original maturity date for months 3 through 6, and a fee of 80,000 shares of restricted common stock shall be issued to lender for each month or prorated for each two-week portion of any month the note is outstanding past the original maturity date beginning in month 7 until paid in full.
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Number of shares issued during the period |
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310,000
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40,000
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Number of shares issued during the period, value |
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$ 137,500
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$ 30,000
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Secured Short Term Note Payable Dated October 13, 2017 [Member] | Past Original Maturity for Months 3 Through 6 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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40,000
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Secured Short Term Note Payable Dated October 13, 2017 [Member] | Past Original Maturity Beginning in Month 7 Until Paid in Full [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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80,000
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Secured Short Term Note Payable Dated October 13, 2017 [Member] | First Two Weeks [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 4,000
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Secured Short Term Note Payable Dated October 13, 2017 [Member] | Week 3-8 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 400
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Secured Short Term Note Payable Dated November 6, 2017 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument term |
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60 days
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Debt instrument, fee amount |
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$ 7,400
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Debt instrument fee, description |
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The note requires a one-time fee in the amount of $5,000 to compensate for the first two weeks of the term and each week thereafter (weeks 3-8) a fee of $400 shall be due and owing accruing on the first day of the week. The total one-time fee paid was $7,400. A fee of 50,000 shares of restricted common stock shall be issued as a penalty for each month or prorated for any two-week portion of any month the note is outstanding past the original maturity date for months 3 through 6, and a fee of 100,000 shares of restricted common stock shall be issued to lender for each month or prorated for each two-week portion of any month the note is outstanding past the original maturity date beginning in month 7 until paid in full.
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Number of shares issued during the period |
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350,000
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Number of shares issued during the period, value |
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$ 153,900
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Secured Short Term Note Payable Dated November 6, 2017 [Member] | Past Original Maturity for Months 3 Through 6 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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50,000
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Secured Short Term Note Payable Dated November 6, 2017 [Member] | Past Original Maturity Beginning in Month 7 Until Paid in Full [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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100,000
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Secured Short Term Note Payable Dated November 6, 2017 [Member] | First Two Weeks [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 5,000
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Secured Short Term Note Payable Dated November 6, 2017 [Member] | Week 3-8 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 400
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Note Payable Dated November 20, 2017 [Member] |
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Short-term Debt [Line Items] |
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Number of shares issued during the period |
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140,000
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Number of shares issued during the period, value |
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$ 1,900
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Debt instrument, interest rate |
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30.00%
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Debt instrument, maturity date |
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Feb. 28, 2018
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Debt instrument, maturity date description |
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During 2018, a verbal agreement was made to allow month-to-month extension of the due date as long as interest payments were made monthly. The Company made interest payments totaling $84,100 of which $37,726 of interest and principal reduction of $1,900 was paid by the issuance of 140,000 shares of common stock during 2018 and the note holder has continued to extend the due date.
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Debt instrument periodic payment |
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$ 84,100
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Debt instrument interest payment |
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$ 37,726
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Unpaid interest |
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$ 84,600
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$ 84,600
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Secured Short Term Note Payable Dated January 26, 2018 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument term |
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60 days
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Debt instrument, fee amount |
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$ 17,500
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Debt instrument fee, description |
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The note required a one-time fee in the amount of $12,500 to compensate for the first two weeks of the term and each week thereafter (weeks 3-8) a fee of $1,250 accrued on the first day of the week. The total one-time fee of $17,500 remains unpaid and accrues interest until paid. A fee of 100,000 shares of restricted common stock accrued as a penalty for each month or prorated for any two-week portion of any month the note was outstanding past the original maturity date for months 3 through 6, and a fee of 200,000 shares of restricted common stock accrued to the lender for each month or prorated for each two-week portion of any month the note was outstanding past the original maturity date beginning in month 7 until paid in full.
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Number of shares issued during the period |
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700,000
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Number of shares issued during the period, value |
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$ 200,000
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Unpaid interest |
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$ 19,000
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Secured Short Term Note Payable Dated January 26, 2018 [Member] | Past Original Maturity for Months 3 Through 6 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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100,000
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Secured Short Term Note Payable Dated January 26, 2018 [Member] | Past Original Maturity Beginning in Month 7 Until Paid in Full [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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200,000
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Secured Short Term Note Payable Dated January 26, 2018 [Member] | First Two Weeks [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 12,500
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Secured Short Term Note Payable Dated January 26, 2018 [Member] | Week 3-8 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 1,250
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Note Payable Dated February 27, 2018 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 25,000
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$ 5,000
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Debt instrument fee, description |
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Because the note and interest were not paid on or before June 1, 2018, a fee of $5,000 accrued on the first day of each month commencing June 1, 2018.
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Debt instrument, maturity date |
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May 31, 2018
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Unpaid interest |
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$ 44,000
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Secured Short Term Note Payable Dated February 1, 2019 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument term |
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90 days
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Debt instrument, fee amount |
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$ 30,000
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Debt instrument fee, description |
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The note requires a one-time fee in the amount of $15,000 to compensate for the first two weeks of the term and each week thereafter (weeks 3-12) a fee of $1,500 shall be due and owing accruing on the first day of the week. The total one-time fee paid was $30,000. A fee of 50,000 shares of restricted common stock shall be issued as a penalty for each month or prorated for any two-week portion of any month the note is outstanding past the original maturity date for months 4 through 6, and a fee of 100,000 shares of restricted common stock shall be issued to lender for each month or prorated for each two-week portion of any month the note is outstanding past the original maturity date beginning in month 7 until paid in full.
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Number of shares issued during the period |
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350,000
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Number of shares issued during the period, value |
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$ 31,200
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Unpaid interest |
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$ 30,000
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$ 30,000
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Secured Short Term Note Payable Dated February 1, 2019 [Member] | Past Original Maturity Beginning in Month 7 Until Paid in Full [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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100,000
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Secured Short Term Note Payable Dated February 1, 2019 [Member] | Past Original Maturity for Months 4 Through 6 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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50,000
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Secured Short Term Note Payable Dated February 1, 2019 [Member] | First Two Weeks [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 15,000
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Secured Short Term Note Payable Dated February 1, 2019 [Member] | Week 3-12 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 1,500
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Note Payable Insurance Premium Financing [Member] | 10 Installments [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, interest rate |
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2.12%
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2.12%
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Debt instrument, maturity date |
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Nov. 01, 2019
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Debt instrument periodic payment |
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$ 33,000
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Secured Short Term Note Payable Dated July 2, 2019 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument term |
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60 days
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Debt instrument, interest rate |
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12.00%
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Unpaid interest |
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$ 3,000
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3,000
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Number of options issued |
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500,000
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Number of options issued, value |
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$ 37,300
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Interest expense - debt |
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3,000
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Debt instrument, unamortized discount |
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$ 37,300
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Secured Short Term Note Payable Dated July 18, 2019 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument term |
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60 days
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Debt instrument fee, description |
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The note requires a one-time fee in the amount of $5,000 to compensate for the first two weeks of the term and each week thereafter (weeks 3-12) a fee of $500 shall be due and owing accruing on the first day of the week. A fee of 15,000 shares of restricted common stock shall be issued as a penalty for each month or prorated for any two-week portion of any month the note is outstanding past the original maturity date for months 3 through 6, and a fee of 30,000 shares of restricted common stock shall be issued to lender for each month or prorated for each two-week portion of any month the note is outstanding past the original maturity date beginning in month 7 until paid in full.
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Unpaid interest |
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9,000
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9,000
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Interest expense - debt |
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9,000
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Secured Short Term Note Payable Dated July 18, 2019 [Member] | Past Original Maturity for Months 3 Through 6 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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15,000
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Secured Short Term Note Payable Dated July 18, 2019 [Member] | Past Original Maturity Beginning in Month 7 Until Paid in Full [Member] |
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Short-term Debt [Line Items] |
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Debt instrument issuance of restricted stock as penalty |
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30,000
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Secured Short Term Note Payable Dated July 18, 2019 [Member] | First Two Weeks [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 5,000
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Secured Short Term Note Payable Dated July 18, 2019 [Member] | Week 3-12 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 500
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Secured Short Term Note Payable Dated July 18, 2019 [Member] | Up Front Fee [Member] |
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Short-term Debt [Line Items] |
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Interest expense - debt |
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5,000
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Secured Short Term Note Payable Dated September 18, 2019 [Member] |
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Short-term Debt [Line Items] |
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Unpaid interest |
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600
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600
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Interest expense - debt |
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600
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Secured Short Term Note Payable Dated September 18, 2019 [Member] | First 18 Months [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, interest rate |
6.00%
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Debt instrument, interest rate terms |
The note accrues interest at 6% annually for the first 18 months, and 12% thereafter if not paid in full.
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Secured Short Term Note Payable Dated September 18, 2019 [Member] | Thereafter If Not Paid in Full [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, interest rate |
12.00%
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Secured Short Term Note Payable Dated August 21, 2019 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument term |
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60 days
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Debt instrument fee, description |
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The note requires a one-time fee in the amount of $500 to compensate for the first two weeks of the term and each week thereafter (weeks 3-8) a fee of $50 shall be due and owing accruing on the first day of the week, after which the fee is $75 per week.
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Unpaid interest |
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700
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700
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Interest expense - debt |
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700
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Secured Short Term Note Payable Dated August 21, 2019 [Member] | First Two Weeks [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 500
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Secured Short Term Note Payable Dated August 21, 2019 [Member] | Week 3-8 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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50
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Secured Short Term Note Payable Dated August 21, 2019 [Member] | Up Front Fee [Member] |
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Short-term Debt [Line Items] |
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Interest expense - debt |
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500
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Secured Short Term Note Payable Dated August 21, 2019 [Member] | Per Week after Week 8 [Member] |
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Short-term Debt [Line Items] |
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|
Debt instrument, fee amount |
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$ 75
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Secured Short Term Note Payable Dated August 21, 2019 Two [Member] |
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Short-term Debt [Line Items] |
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Debt instrument term |
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60 days
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Debt instrument fee, description |
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The note requires a one-time fee in the amount of $4,150 to compensate for the first two weeks of the term and each week thereafter (weeks 3-8) a fee of $415 shall be due and owing accruing on the first day of the week, after which the fee is $600 per week.
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Unpaid interest |
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5,800
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$ 5,800
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Interest expense - debt |
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5,800
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Secured Short Term Note Payable Dated August 21, 2019 Two [Member] | First Two Weeks [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 4,150
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Secured Short Term Note Payable Dated August 21, 2019 Two [Member] | Week 3-8 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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415
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Secured Short Term Note Payable Dated August 21, 2019 Two [Member] | Up Front Fee [Member] |
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Short-term Debt [Line Items] |
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Interest expense - debt |
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$ 4,150
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Secured Short Term Note Payable Dated August 21, 2019 Two [Member] | Per Week after Week 8 [Member] |
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Short-term Debt [Line Items] |
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Debt instrument, fee amount |
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$ 600
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