Quarterly report pursuant to Section 13 or 15(d)

Convertible Notes and Notes Payable (Details Narrative)

v3.20.2
Convertible Notes and Notes Payable (Details Narrative) - USD ($)
1 Months Ended 3 Months Ended 6 Months Ended
May 07, 2020
Oct. 03, 2019
Sep. 30, 2016
Apr. 01, 2016
Mar. 23, 2016
Dec. 23, 2015
Jun. 30, 2020
May 31, 2020
Apr. 30, 2020
Sep. 30, 2016
Jun. 30, 2020
Jun. 30, 2020
Jun. 30, 2019
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Debt discount             $ 48,195       $ 48,195 $ 48,195   $ 53,865      
Amortization of debt discount                       $ 9,812        
Balance Group LLC [Member]                                  
Loan amount due to related party     $ 120,000             $ 120,000       66,850   $ 66,850 $ 66,850
Interest rate     10.00%             10.00%              
Accrued interest     $ 45,016             $ 45,016       $ 18,325   $ 18,325 $ 18,325
Debt instrument, maturity date                   Oct. 01, 2017              
Warrants exercise price per share     $ 1.00             $ 1.00              
Warrants expire date     Sep. 30, 2021             Sep. 30, 2021              
Number of warrants issued to related party     600,000             600,000              
Balance Group LLC [Member] | Measurement Input Expected Term [Member]                                  
Warrant term             5 years       5 years 5 years          
Balance Group LLC [Member] | Measurement Input Price Volatility [Member]                                  
Warrants, measurement input             514       514 514          
Balance Group LLC [Member] | Measurement Input, Risk Free Interest Rate [Member]                                  
Warrants, measurement input             1.14       1.14 1.14          
Balance Group LLC [Member] | Measurement Input, Expected Dividend Yield [Member]                                  
Warrants, measurement input             0       0 0          
Paycheck Protection Program [Member]                                  
Loan amount due to related party $ 34,500                                
Interest rate 1.00%                                
Debt instrument, maturity date May 03, 2022                                
Paycheck Protection Program [Member] | November 1, 2020 [Member]                                  
Debt monthly payments $ 1,464                                
Warrants [Member]                                  
Debt discount             $ 2,070       $ 2,070 $ 2,070          
Warrants [Member] | Balance Group LLC [Member]                                  
Interest rate     10.00%             10.00%              
Warrants exercise price per share     $ 1.00             $ 1.00              
Warrants expire date     Sep. 30, 2021             Sep. 30, 2021              
Number of warrants issued to related party     600,000             600,000              
KryptoBank Co., [Member]                                  
Loan amount due to related party                             $ 100,000    
Interest rate             12.00%       12.00% 12.00%          
Accrued interest             $ 21,612       $ 21,612 $ 21,612          
Notes payable             112,167       112,167 112,167          
Sammy Farkas Foundation Inc. [Member]                                  
Interest rate   12.00%                              
Notes payable   $ 40,000                              
Debt instrument, maturity date   Oct. 10, 2020                              
Debt instrument, face amount   $ 40,000                              
Warrants issued to purchase common stock   40,000                              
Warrants exercise price per share   $ 1.00                              
Warrants expire date   Oct. 10, 2022                              
Debt discount             2,070       2,070 2,070          
Sammy Farkas Foundation Inc. [Member] | Warrants [Member]                                  
Debt discount             8,283       8,283 8,283          
Farkas Group [Member]                                  
Loan amount due to related party             $ 17,200 $ 2,500 $ 18,500   $ 17,200 $ 17,200          
Interest rate             8.00% 8.00% 8.00%   8.00% 8.00%          
Debt description             One year and one day One year and one day One year and one day                
Convertible Notes Payable [Member] | Balance Group LLC [Member]                                  
Loan amount due to related party     $ 120,000             $ 120,000              
Interest rate     10.00%             10.00%              
Accrued interest             $ 45,016       $ 45,016 $ 45,016          
Warrants exercise price per share     $ 1.00             $ 1.00              
Amortization of debt discount     $ 111,428                            
Number of warrants issued to related party     600,000             600,000              
Fair value of warrants     $ 85,714                            
Promissory Note [Member]                                  
Interest rate             12.00%       12.00% 12.00%          
Accrued interest             $ 3,480       $ 3,480 $ 3,480          
Debt instrument, maturity date                       Oct. 10, 2020          
Debt instrument, face amount             $ 40,000       40,000 $ 40,000          
Amortization of debt discount                     $ 2,071 $ 4,142          
Promissory Note [Member] | Warrants [Member]                                  
Warrants exercise price per share             $ 1.00       $ 1.00 $ 1.00          
Warrants expire date             Oct. 10, 2022       Oct. 10, 2022 Oct. 10, 2022          
Debt discount             $ 8,283       $ 8,283 $ 8,283          
Promissory Note [Member] | Sammy Farkas Foundation Inc. [Member]                                  
Accrued interest             3,480       3,480 3,480          
Secured Convertible Promissory Note [Member]                                  
Interest rate           8.00%                      
Accrued interest             24,235       24,235 24,235          
Debt instrument, maturity date           Mar. 23, 2016                      
Warrants issued to purchase common stock           100,000                      
Warrants exercise price per share           $ 0.50                      
Warrants expire date           Dec. 23, 2020                      
Convertible notes payable           $ 25,000                      
Common stock exercise price           $ 0.50                      
Warrant term           5 years                      
Increase in interest rate         18.00%                        
Convertible Debenture [Member]                                  
Interest rate       10.00%                          
Accrued interest             212,534       212,534 212,534          
Debt instrument, maturity date       Apr. 02, 2017                          
Amortization of debt discount                     2,835 5,670          
Proceeds from convertible debt       $ 500,000                          
Debt conversion price per share       $ 0.25                          
Beneficial conversion feature expense       $ 500,000                          
Convertible Debenture [Member] | Sammy Farkas Foundation Inc. [Member]                                  
Loan amount due to related party   $ 500,000                              
Debt discount   $ 56,700                              
Debt instrument, extended maturity date   Oct. 10, 2024                              
Number of shares exchange   54,000                              
Chief Executive Officer And Company's Controlled By Chief Executive Officer [Member] | Convertible Notes Payable [Member]                                  
Loan amount due to related party             $ 1,170,558       $ 1,170,558 $ 1,170,558          
Interest rate             8.00%       8.00% 8.00%          
Accrued interest             $ 161,438       $ 161,438 $ 161,438          
Loans, default amount             $ 911,949       $ 911,949 $ 911,949          
Debt maturity date, description                       Mature one year and one day from the date of the loan.