Quarterly report pursuant to Section 13 or 15(d)

Notes Payable (Details Narrative)

v3.8.0.1
Notes Payable (Details Narrative) - USD ($)
3 Months Ended 9 Months Ended
Sep. 29, 2017
Aug. 14, 2017
Aug. 09, 2017
Dec. 30, 2016
Sep. 30, 2017
Sep. 30, 2016
Sep. 30, 2017
Sep. 30, 2016
Jun. 01, 2017
May 18, 2017
May 10, 2017
Jan. 05, 2017
Dec. 31, 2016
Debt principal amount         $ 250,000   $ 250,000            
Debt discount amount         57,134   172,534          
Debt interest rate 4.00%                   10.00%    
Loan bear interest rate                       9.00%  
Debt default rate                       11.00%  
Accrued interest         22,398   22,398          
Gain on debt forgiveness         (48,407) (48,407)          
Borrowing from unrelated party                     $ 50,000    
Warrants to purchase common stock 136,015                        
Warrant exercise price $ 1.00                        
Fair value of volatility rate 94.00%                        
Fair value of discount rate 0.00%                        
Fair value of dividend yield 0.00%                        
Fair value of expected life 3 years                        
Debt imputed interest $ 107,536                        
Debt interest expenses             1,132            
Unamortization of debt discount         106,404   106,404            
Warrant exercise price , description The exercise price of these investor warrants will be adjusted to $0.665 per share. we measured the value of the effect of the down round feature as the difference between the fair value of the financial instrument at an original exercise price of $1.50 and an adjusted exercise price of $0.665 and, as the result, $59,801 was recorded as down round feature as a dividend under retained earnings under ASC 260-10-30-1. $59,801 were determined using the Black-Scholes option-pricing model                        
Wilshire Energy Partners, LLC [Member]                          
Warrants to purchase common stock 100,752                        
Tranche Three Warrant[Member]                          
Debt discount amount $ 107,536                        
Fair value of warrant $ 105,000                        
Fair value of volatility rate 94.00%                        
Fair value of discount rate 0.00%                        
Fair value of dividend yield 0.00%                        
Debt imputed interest $ 2,536                        
Unaffiliated Investor [Member] | Tranche One Warrant[Member]                          
Warrants to purchase common stock 375,000                        
Warrant exercise price $ 0.665                        
Warrant maturity date Sep. 29, 2019                        
Unaffiliated Investor [Member] | Tranche Two Warrant[Member]                          
Warrants to purchase common stock 375,000                        
Warrant exercise price $ 1.25                        
Warrant maturity date Sep. 29, 2020                        
Unaffiliated Investor [Member] | Tranche Three Warrant[Member]                          
Warrants to purchase common stock 185,000                        
Warrant exercise price $ 2.00                        
Warrant maturity date Sep. 29, 2020                        
Minimum [Member] | Tranche Three Warrant[Member]                          
Fair value of expected life 2 years                        
Maximum [Member] | Tranche Three Warrant[Member]                          
Fair value of expected life 3 years                        
Full Wealth Investment Hong Kong Limited [Member]                          
Debt interest rate                 10.00%        
Full Wealth Investment Hong Kong Limited [Member] | Minimum [Member]                          
Debt interest rate                   9.00%      
Full Wealth Investment Hong Kong Limited [Member] | Maximum [Member]                          
Debt interest rate                   13.50%      
9% Unsecured Debenture Due April 30, 2017 [Member] | Full Wealth Investment Hong Kong Limited [Member]                          
Debt principal amount                       $ 1,000,000  
9% Unsecured Debenture [Member] | Full Wealth Investment Hong Kong Limited [Member]                          
Debt principal amount   $ 1,000,000     $ 1,000,000   $ 1,000,000            
Maturity date             May 06, 2017            
Accrued interest   20,000                      
Gain on debt forgiveness   $ 30,000                      
9% Unsecured Debenture [Member] | Full Wealth Investment Hong Kong Limited [Member] | Minimum [Member]                          
Debt interest rate                   9.00%      
9% Unsecured Debenture [Member] | Full Wealth Investment Hong Kong Limited [Member] | Maximum [Member]                          
Debt interest rate                   13.50%      
Promissory Note [Member] | Profit Well Limited, Hong Kong Limited [Member]                          
Debt principal amount     $ 1,050,000                    
Maturity date     Sep. 08, 2017                    
Debt interest rate     13.50%                    
Borrowing from unrelated party     $ 1,050,000                    
Promissory Note [Member] | Profit Well Limited, Hong Kong Limited [Member] | November 3, 2017 [Member]                          
Number of restricted stock award issued     $ 100,000                    
Promissory Note Three Tranches of Warrants [Member] | Unaffiliated Investor [Member]                          
Maturity date Jan. 02, 2018                        
Debt interest rate 15.00%                        
Aggregate condsideration of warrants $ 250,000                        
Total Belief Limited [Member] | Promissory Note Due June 30, 2018 [Member]                          
Debt principal amount       $ 6,000,000                 $ 6,000,000
Maturity date       Jun. 30, 2018                  
Debt discount amount       $ 342,804                  
Debt interest rate       4.00%                  
Debt instrument term       1 year 6 months