Annual report pursuant to Section 13 and 15(d)

Convertible Note Payable (Details Narrative)

v3.10.0.1
Convertible Note Payable (Details Narrative)
12 Months Ended
Nov. 17, 2017
USD ($)
Integer
$ / shares
shares
Nov. 07, 2017
USD ($)
$ / shares
shares
Sep. 29, 2017
$ / shares
shares
May 10, 2017
USD ($)
Dec. 31, 2017
USD ($)
Dec. 31, 2016
USD ($)
Warrants to purchase common stock | shares   50,000 136,015      
Warrant exercise price per share | $ / shares   $ 1.00 $ 1.00      
Warrant expiration date   May 07, 2019        
Description on warrants         If the Company fails to pay the principal and accrued unpaid interest due and payable to Lender on or before the due date of the convertible note, then the Lender shall be provided the right to convert at either $0.665 per share or upon the same terms offered in FirstFire Opportunity Fund, LLC Notes conversion options.  
Fair value of warrants   $ 3,381     $ 3,381  
Proceeds from debt         300,000
Interest expense         930,923 27,873
Debt instrument incurred         49,071 $ 0
First Fire Opportunity Fund LLC [Member]            
Debt instrument interest rate 8.00%          
Debt instrument, maturity date Aug. 17, 2018          
Warrants to purchase common stock | shares 267,500          
Warrant exercise price per share | $ / shares $ 1.00          
Fair value of warrants $ 10,750          
Debt instrument face amount 267,500          
Proceeds from debt $ 250,000          
Warrant term 18 months          
Conversion price | $ / shares $ 0.665          
Conversion percentage 50.00%          
Trading days | Integer 20          
Converted derivative value         $ 458,387  
First Fire Opportunity Fund LLC [Member] | Restricted Common Stock [Member]            
Warrants to purchase common stock | shares 60,000          
Fair value of warrants $ 18,250          
Converted derivative value 288,964          
Interest expense $ 67,964          
Volatility Rate [Member]            
Fair value assumptions, measurement input, percentages 78.00% 77.00% 94.00%      
Volatility Rate [Member] | First Fire Opportunity Fund LLC [Member]            
Fair value assumptions, measurement input, percentages         77.00%  
Volatility Rate [Member] | First Fire Opportunity Fund LLC [Member] | Restricted Common Stock [Member]            
Fair value assumptions, measurement input, percentages 78.00%          
Discount Rate [Member]            
Fair value assumptions, measurement input, percentages 0.00% 0.00% 0.00%      
Discount Rate [Member] | First Fire Opportunity Fund LLC [Member]            
Fair value assumptions, measurement input, percentages         0.00%  
Discount Rate [Member] | First Fire Opportunity Fund LLC [Member] | Restricted Common Stock [Member]            
Fair value assumptions, measurement input, percentages 0.00%          
Dividend Yield [Member]            
Fair value assumptions, measurement input, percentages 0.00% 0.00% 0.00%      
Dividend Yield [Member] | First Fire Opportunity Fund LLC [Member]            
Fair value assumptions, measurement input, percentages         0.00%  
Dividend Yield [Member] | First Fire Opportunity Fund LLC [Member] | Restricted Common Stock [Member]            
Fair value assumptions, measurement input, percentages 0.00%          
Expected Life [Member]            
Fair value assumptions, measurement input, term 1 year 6 months 1 year 6 months 3 years      
Expected Life [Member] | First Fire Opportunity Fund LLC [Member]            
Fair value assumptions, measurement input, term         7 months 6 days  
Expected Life [Member] | First Fire Opportunity Fund LLC [Member] | Restricted Common Stock [Member]            
Fair value assumptions, measurement input, term 8 months 29 days          
Common Stock [Member]            
Warrants to purchase common stock | shares   50,000        
Private Placement [Member]            
Debt instrument, convertible date       May 10, 2018    
Common stock selling price percentage       100.00%    
Convertible Note Agreement [Member]            
Borrowing from unrelated party       $ 50,000    
Debt instrument interest rate       10.00%    
Debt instrument, maturity date       May 10, 2018