Quarterly report pursuant to Section 13 or 15(d)

Convertible Debentures (Details Textual)

v3.19.3
Convertible Debentures (Details Textual) - USD ($)
1 Months Ended 4 Months Ended 5 Months Ended 9 Months Ended 12 Months Ended
Dec. 31, 2018
Dec. 03, 2018
Oct. 15, 2018
Oct. 12, 2018
Sep. 11, 2018
Jan. 16, 2019
Sep. 17, 2018
Jul. 11, 2018
May 22, 2018
May 31, 2019
Aug. 31, 2017
Jan. 23, 2019
Apr. 04, 2018
Alpha Capital Anstalt [Member]                          
Convertible Debentures (Textual)                          
Convertible secured note                     $ 565,000    
Interest rate                     5.00%    
Maturity date                   Aug. 31, 2022 Oct. 31, 2018    
Conversion price                   $ 0.29      
Exercise price                   $ 0.315      
Principal amount                 $ 508,500        
Convertible shares                 1,753,447        
Warrants to purchase               1,753,447          
Remaining amount   $ 56,500                      
Accrued interest   $ 13,479                      
Common shares issue   145,788                      
Private lenders [Member]                          
Convertible Debentures (Textual)                          
Common shares issue         316,223                
GS Capital Partners [Member]                          
Convertible Debentures (Textual)                          
Convertible secured note $ 143,750                        
Interest rate                   10.00%      
Maturity date Apr. 29, 2019                        
Conversion price $ 0.48                 $ 0.48      
Principal amount $ 18,750                        
Convertible shares 260,416                 260,416      
Calvary Fund I LP [Member]                          
Convertible Debentures (Textual)                          
Interest rate       10.00%           10.00%      
Maturity date                   Sep. 04, 2019      
Conversion price       $ 0.86           $ 0.87      
Exercise price       $ 0.86                  
Principal amount                         $ 250,000
Convertible shares       1,162                  
Description of convertible debenture       The Company issued 250 one year units for proceeds of $250,000, each unit consisting of a $1,000 principal convertible unsecured debenture.           The units consists of 250 units of $1,000 convertible debenture and 1,149.424 commons share purchase warrants.      
SBI Investments, LLC [Member]                          
Convertible Debentures (Textual)                          
Interest rate     10.00%                    
Conversion price     $ 0.86                    
Exercise price     $ 0.86                    
Convertible shares     1,162                    
Description of convertible debenture     The Company entered into an agreement with SBI Investments LLC whereby the Company issued 250 one year units for proceeds of $250,000, each debenture consisting of a $1,000 principal convertible unsecured debenture.                    
Bay Private Equity, Inc. [Member]                          
Convertible Debentures (Textual)                          
Convertible secured note             $ 3,300,000     $ 1,100,000      
Interest rate                   5.00%      
Maturity date                   Oct. 19, 2019      
Conversion price           $ 0.40       $ 1.00      
Exercise price                   $ 1.10      
Principal amount                       $ 400,000  
Convertible shares           5,000,000       250,000      
Remaining amount                   $ 400,000      
Description of convertible debenture           The Company issued a convertible debenture of $2,400,000, including an original issue discount of $400,000, to Bay for net proceeds of $2,000,000 related to this agreement. The Company issued 3 one year convertible units of $1,100,000 each to Bay Private Equity, Inc. ("Bay") for net proceeds of $2,979,980 related to this agreement.