Quarterly report pursuant to Section 13 or 15(d)

NOTES PAYABLE (Details Narrative)

v3.21.2
NOTES PAYABLE (Details Narrative) - USD ($)
1 Months Ended 9 Months Ended
Jan. 25, 2021
Jan. 22, 2021
Sep. 30, 2021
Jul. 27, 2021
Dec. 31, 2020
Shares issued upon conversion of debt and accrued interest, shares     24,939,780    
Common stock, shares issued     432,886,195   196,512,867
Common stock, shares par value     $ 0.001   $ 0.001
Halladay Holding LLC [Member]          
Outstanding amount     $ 2,970,000    
Interest rate     9.89%    
Securities Purchase Agreement [Member] | Accredited investor [Member]          
Issuance of warrants to purchase 5,000,000        
Exercise price $ 0.01        
Debt instrument, maturity date description The amendments, among other things, (1) extended the maturity date of the June 2019 Note from January 26, 2021 to December 31, 2021 and (2) extended the maturity date of the October 2019 Note from April 21, 2021 to December 31, 2021        
Senior convertible promissory notes, principal amount $ 3,500,000        
Conversion price of note $ 0.175        
Description of debt conversion (i) the sum of the then-outstanding principal amount of the Notes and all accrued but unpaid interest, multiplied by (ii) (x) 110%, if the prepayment date is within 90 days of the original issue date, (y) 115%, if the prepayment date is between 91 days and 180 days following the original issue date or (z) 125%, if the prepayment date is after the 180th day following the original issue date.        
Default interest rate 18        
Percentage of change in cash flow 10        
Securities Purchase Agreement [Member] | A Warrant [Member]          
Interest rate       8.00%  
Issuance of warrants to purchase 15,000,000        
Exercise price $ 0.01        
Common stock, shares issued       4,548,006  
Original principal       $ 1,000,000.00  
Promissory note amount       $ 2,500,000  
Common stock, shares par value       $ 0.23  
Securities Purchase Agreement [Member] | B Warrants [Member]          
Issuance of warrants to purchase 15,000,000        
Exercise price $ 0.2284        
Stock Purchase Agreement [Member] | Michael A. Nahass [Member] | Series A Preferred Stock [Member]          
Aggregate purchase price of shares issued, amount   $ 3,100,000      
Unsecured promissory note, other   $ 1,050,000.00      
Rate of interest on promissory note, other, percentage   3      
Cash paid upon shares purchase, amount   $ 1,000,000.00      
Unsecured promissory note   $ 1,050,000.00      
Rate of interest on promissory note, percentage 3 3      
July 1, 2021 [Member]          
Line of credit lesser maximum draw amount     $ 4,500,000    
Outstanding amount     $ 4,500,000    
Interest rate     2.90%    
May 2020 [Member] | Payroll Protection Program [Member]          
Outstanding amount     $ 300,000    
Interest rate     1.00%    
January 1, 2021 [Member] | Related Party Promissory Note [Member]          
Outstanding amount     $ 110,000    
Interest rate     4.00%    
Unsecured promissory note principal balance     $ 200,000    
January 1, 2021 [Member] | Related Party Promissory Note [Member] | First Choice, LLC [Member]          
Interest rate     10.00%    
Unsecured promissory note principal balance     $ 5,000,000.00