Annual report pursuant to Section 13 and 15(d)

Consolidated Statements of Changes in Stockholders' Deficit

v3.20.1
Consolidated Statements of Changes in Stockholders' Deficit - USD ($)
Series D Preferred Stock [Member]
Series G Preferred Stock [Member]
Series H Preferred Stock [Member]
Series H (2) Preferred Stock [Member]
Series J Preferred Stock [Member]
Series K Preferred Stock [Member]
Series AA Preferred Stock [Member]
Common Stock [Member]
Stock Warrants [Member]
Additional Paid-In Capital [Member]
Accumulated Other Comprehensive Loss [Member]
Accumulated Deficit [Member]
Total
Balance at Dec. 31, 2017 $ 3 $ 806 $ 100 $ 35 $ 68 $ 13,429 $ 9,878,513 $ 30,833,549 $ (55,349,299) $ (14,622,796)
Balance, shares at Dec. 31, 2017 300 80,570 10,000 21 3,458 6,880 1,342,858          
Stock-based compensation 592,477 592,477
Issuance of common stock for services $ 680 237,440 $ 238,120
Issuance of common stock for services, shares 68,000        
Series AA Preferred Stock dividend (678,921) $ (678,921)
Conversion of debt and interest for preferred stock $ 51 6,826,710 5,861,874 12,688,635
Conversion of debt and interest for preferred stock, shares 5,075          
Issuance of common stock for dividends paid-in-kind 257,457 258,221
Issuance of common stock for dividends paid-in-kind, shares          
Offering cost for issuance of common stock 385,698 (749,034) (363,336)
Stock issued with debt $ 883 287,765 288,648
Stock issued with debt, shares 88,311          
Warrants issued with debt 162,023 162,023
Common Stock issued for debt extension $ 646 220,306 220,952
Common Stock issued for debt extension, shares 64,652          
Incentive warrants and shares $ 1 773,832 525,507 1,299,340
Incentive warrants and shares, shares 193          
Issuance of common stock for interest paid in kind $ 764
Issuance of common stock for interest paid in kind, shares 76,361          
Series AA Preferred Stock offering $ 13 1,730,587 1,457,400 3,188,000
Series AA Preferred Stock offering, shares 1,275          
Conversion of Series AA preferred stock to common stock $ 440 (440)
Conversion of Series AA preferred stock to common stock, shares (44) 44,000          
Beneficial conversion option on convertible preferred stock 12,881,899 12,881,899
Deemed dividend on convertible preferred stock (12,881,899) (12,881,899)
Beneficial conversion option on warrant/debenture 213,012 213,012
Deemed dividend - down-round feature (213,012) (213,012)
Warrant modification 49,884 49,884
Contingent beneficial conversion option from convertible note 253,000 253,000
Net loss (9,699,318) (9,699,318)
Balance at Dec. 31, 2018 $ 3 $ 806 $ 100 $ 35 $ 68 $ 65 $ 16,842 19,807,247 39,777,301 (65,727,538) (6,125,071)
Balance, shares at Dec. 31, 2018 300 80,570 10,000 21 3,458 6,880 6,499 1,684,182          
Stock-based compensation 1,117,277 1,117,277
Issuance of common stock for services $ 1,390 397,210 $ 398,600
Issuance of common stock for services, shares 139,000        
Series AA Preferred Stock dividend (1,553,822) $ (1,553,822)
Issuance of common stock for dividends paid-in-kind $ 818 204,282 205,100
Issuance of common stock for dividends paid-in-kind, shares 81,767          
Stock issued with debt $ 802 239,073 239,875
Stock issued with debt, shares 80,237          
Warrants issued with debt 208,714 208,714
Common Stock issued for debt extension $ 4,222 644,769 649,018
Common Stock issued for debt extension, shares 422,234          
Beneficial conversion feature on Series AA convertible preferred stock 2,653,344 2,653,344
Beneficial conversion feature on debt 558,903 558,903
Deemed dividend-beneficial conversion feature (2,653,344) (2,653,344)
Preferred Stock offering $ 16 1,902,352 1,736,551 3,638,919
Preferred Stock offering, shares 1,456          
Conversion of Series AA Convertible Preferred Stock $ 160 (160)
Conversion of Series AA Convertible Preferred Stock, shares (16) 16,000          
Conversion of debt and interest for common stock $ 1,262 355,248 356,510
Conversion of debt and interest for common stock, shares 126,200          
Common stock warrants issued for debt extension 275,307 275,307
Offering costs for issuance of preferred stock 405,557 (769,376) (363,819)
Net loss (11,660,917) (11,660,917)
Balance at Dec. 31, 2019 $ 3 $ 806 $ 100 $ 35 $ 68 $ 80 $ 25,496 $ 22,599,177 $ 44,261,105 $ (78,942,277) $ (12,055,407)
Balance, shares at Dec. 31, 2019 300 80,570 10,000 21 3,458 6,880 7,939 2,549,620