General form of registration statement for all companies including face-amount certificate companies

GOING CONCERN (Details Narrative)

v3.22.2.2
GOING CONCERN (Details Narrative) - USD ($)
1 Months Ended 6 Months Ended 12 Months Ended
May 13, 2022
May 18, 2022
Jun. 30, 2022
Jun. 30, 2021
Dec. 31, 2021
Dec. 31, 2020
May 19, 2022
Mar. 31, 2022
May 31, 2021
Mar. 31, 2021
Aug. 08, 2019
Mar. 08, 2017
GOING CONCERN                        
Accumulated Deficit     $ (63,229,547)   $ (57,471,492) $ (49,601,220)            
Approximate Accumulated deficit     (63,230,000)         $ (63,000,000)        
Convertible debenture including penalties, damages and interest     1,100,000         1,100,000        
Approximate Accumulated deficit     (63,230,000)         $ (63,000,000)        
Working capital     $ 3,750,000                  
Underwritten public offering, price per unit     4.25         4.25        
Operating activity balance     $ (2,721,000)                  
Convertible notes payable loan balance     3,048,781       $ 3,048,781 $ 3,048,781        
Net offering proceeds from loan   $ 8,779,000 $ 5,729,000                  
Original Issue Discount Convertible Debenture     18.00%       18.00% 0.18%        
Convertible notes payable annual interest rate     12.00%         0.12%        
Principal balances of convertible notes due, March 31, 2022     $ 2,005,000         $ 2,005,000        
Principal balances of convertible notes due, March 2023     1,100,000         1,100,000        
Principal balances of convertible notes due, April 2023     155,000         155,000        
Approximate Net cash used in operating activities     (775,000)                  
Principal balances of convertible notes due, May 2023     $ 750,000         $ 750,000        
Common stock closing price per share     $ 9         $ 6        
Price per unit sold, percentage 100.00% 1.00%                    
Convertible debenture   $ 3,048,781                    
Net proceeds from the sale of an underwritten public offering   8,779,000 $ 10,004,245 $ 0 $ 15,000,000              
Principal balance   $ 3,048,781                   $ 74,672
Common Stock, par value   $ 0.00001 $ 0.00001   $ 0.00001 $ 0.00001   $ 0.01        
Underwritten public offering units issued 2,352,942                      
Additional common stock shares issued   352,941                    
Additional warrants issued   705,882                    
Representative's Warrants issued   $ 141,177                    
Warrants exercise price $ 4.25               $ 9 $ 9 $ 3.118125  
Warrants expiry term   five                    
Public Offerings Price   $ 4.25                    
Net Cash Used In Operating Activities     $ (2,721,376) $ (1,628,316) $ (3,688,302) $ (2,191,533)