Annual report pursuant to Section 13 and 15(d)

Stockholders' (Deficit) - Schedule of Loans Obligated to Issue Shares (Details)

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Stockholders' (Deficit) - Schedule of Loans Obligated to Issue Shares (Details)
12 Months Ended
Dec. 31, 2020
USD ($)
Loan Principal $ 10,202,150
Defined Date Jun. 23, 2021
Shares Issuable Frequency For our loan dated December 23, 2020, we are obligated to issue 100,000 warrants if the loan is not repaid before January 23, 2021 and an additional 10,000 shares of common stock if the loan is not repaid before February 23, 2021. We are also obligated to issue 10,000 shares of common stock and 200,000 warrants if the loan is not repaid before March 23, 2021. If the loan is not repaid on March 23, 2021, 10,000 shares of common stock will be issued every 31 days up to the loan's maturity date on June 23, 2021.
Loans 1 [Member]  
Loan Issuance Date Jul. 21, 2020
Loan Principal $ 115,000
Percentage of Loan Principal Issuable 0.0435%
Defined Date Sep. 30, 2020
Shares Issuable Frequency Monthly
Loans 2 [Member]  
Loan Issuance Date Sep. 21, 2020
Loan Principal $ 345,000
Percentage of Loan Principal Issuable 0.0362%
Defined Date Nov. 16, 2020
Shares Issuable Frequency Weekly
Loans 3 [Member]  
Loan Issuance Date Sep. 23, 2020
Loan Principal $ 115,000
Percentage of Loan Principal Issuable 0.0652%
Defined Date Dec. 01, 2020
Shares Issuable Frequency Weekly
Loans 4 [Member]  
Loan Issuance Date Sep. 25, 2020
Loan Principal $ 115,000
Percentage of Loan Principal Issuable 0.0652%
Defined Date Dec. 01, 2020
Shares Issuable Frequency Weekly
Loans 5 [Member]  
Loan Issuance Date Oct. 22, 2020
Loan Principal $ 115,000
Percentage of Loan Principal Issuable 0.0652%
Defined Date Dec. 01, 2020
Shares Issuable Frequency Weekly