Quarterly report pursuant to Section 13 or 15(d)

Notes Payable - Schedule of Outstanding Amounts of Notes Payable (Details) (Parenthetical)

v3.19.1
Notes Payable - Schedule of Outstanding Amounts of Notes Payable (Details) (Parenthetical)
3 Months Ended 12 Months Ended
Mar. 15, 2019
USD ($)
Mar. 04, 2019
Feb. 05, 2019
USD ($)
Oct. 22, 2018
USD ($)
Mcfe
$ / shares
Sep. 17, 2018
USD ($)
shares
Sep. 14, 2018
USD ($)
shares
Aug. 23, 2018
USD ($)
shares
Aug. 22, 2018
shares
Aug. 11, 2018
USD ($)
$ / shares
shares
Aug. 11, 2018
USD ($)
$ / shares
Jul. 29, 2018
USD ($)
shares
Jul. 19, 2018
USD ($)
shares
Jun. 30, 2018
USD ($)
Feb. 28, 2018
USD ($)
shares
Dec. 30, 2017
shares
Nov. 17, 2017
USD ($)
$ / shares
Nov. 07, 2017
$ / shares
shares
Nov. 06, 2017
shares
Nov. 03, 2017
USD ($)
shares
Nov. 01, 2017
Sep. 29, 2017
USD ($)
$ / shares
shares
Aug. 09, 2017
USD ($)
Mar. 31, 2019
USD ($)
shares
Dec. 31, 2018
Debt principal amount                 $ 44,000 $ 44,000           $ 267,500             $ 50,000  
Number of restricted stock award issued | shares         50,000                                      
Value of restricted stock award issued         $ 4,500                                      
Warrants to purchase common stock | shares                                 50,000       136,015      
Warrant exercise price per share | $ / shares                               $ 1.00 $ 1.00       $ 1.00      
Warrant maturity date                                 May 07, 2019              
Number of shares issued | shares                                 50,000       136,015      
Interest expense                                         $ 59,801      
Debt description   As the result, the exercise price of the warrants was reset to the lesser of (i) 50% multiplied by the lowest Trading Price during the previous twenty (20) Trading Day prior to March 4, 2019, which is $0.025. (ii) 50% multiplied by the lowest Trading Price during the previous twenty (20) Trading Day prior to the Conversion Date.                                            
Expected Life [Member]                                                
Fair value assumptions input, term   2 months 12 days               2 years           1 year 6 months 1 year 6 months       3 years      
Tranches Three Warrant [Member]                                                
Debt instrument interest rate                                         4.00%      
Debt principal amount                                             250,000  
Unaffiliated Investor [Member]                                                
Debt instrument interest rate                 12.50% 12.50%                            
Debt maturity date                 Feb. 11, 2020                              
Debt principal amount                                             $ 44,000  
Warrant exercise price per share | $ / shares                 $ 0.665 $ 0.665                            
Number of shares issued | shares                 100,000                              
Convertible Note Payable One [Member]                                                
Debt instrument interest rate                                             10.00% 10.00%
Debt maturity date                                             May 10, 2018 May 10, 2018
Profit Well Limited [Member] | Convertible Note Payable One [Member]                                                
Number of restricted stock award issued | shares                     100,000                          
Value of restricted stock award issued                     $ 12,000                          
Unsecured Note Payable One [Member]                                                
Debt instrument interest rate                                             13.50% 13.50%
Debt maturity date                                             Sep. 08, 2017 Sep. 08, 2017
Penalty payment                         $ 100,000                      
Unsecured Note Payable One [Member] | Profit Well Limited, Hong Kong Limited [Member]                                                
Debt instrument interest rate                                           13.50%    
Debt maturity date                                           Sep. 08, 2017    
Debt principal amount                                           $ 1,050,000    
Number of restricted stock award issued | shares                           200,000         100,000          
Value of restricted stock award issued                           $ 46,700         $ 48,000          
Penalty payment                           $ 100,000                    
Unsecured Note Payable Two [Member]                                                
Debt instrument interest rate                                             0.00% 0.00%
Debt maturity date                                             Jan. 02, 2018 Jan. 02, 2018
Unsecured Note Payable Two [Member] | Unaffiliated Investor [Member] | Tranche One Warrant [Member]                                                
Warrants to purchase common stock | shares                                         375,000      
Warrant exercise price per share | $ / shares                                         $ 0.665      
Warrant maturity date                                         Sep. 29, 2019      
Unsecured Note Payable Two [Member] | Unaffiliated Investor [Member] | Tranche Two Warrant[Member]                                                
Warrants to purchase common stock | shares                                         375,000      
Warrant exercise price per share | $ / shares                                         $ 1.25      
Warrant maturity date                                         Sep. 29, 2020      
Unsecured Note Payable Two [Member] | Unaffiliated Investor [Member] | Tranches Three Warrant [Member]                                                
Warrants to purchase common stock | shares                                         185,000      
Warrant exercise price per share | $ / shares                                         $ 2.00      
Warrant maturity date                                         Sep. 29, 2020      
Unsecured Note Payable Two [Member] | Unaffiliated Investor [Member] | Promissory Note and Three Tranches of Warrants [Member]                                                
Debt instrument interest rate                                         15.00%      
Debt maturity date                             Jan. 23, 2018           Jan. 02, 2018      
Number of restricted stock award issued | shares                             30,000     75,000            
Aggregate consideration of warrants                                         $ 250,000      
Unsecured Note Payable Two [Member] | Minimum [Member] | Unaffiliated Investor [Member] | Promissory Note and Three Tranches of Warrants [Member]                                                
Debt instrument interest rate                             10.00%                  
Unsecured Note Payable Three [Member]                                                
Debt instrument interest rate                                       12.00%     12.00% 12.00%
Debt maturity date                                       Jun. 30, 2018     Mar. 31, 2019 Mar. 31, 2019
Unsecured Note Payable Three [Member] | Note Holder [Member]                                                
Number of restricted stock award issued | shares               60,000                                
Unsecured Note Payable Four [Member]                                                
Debt instrument interest rate                       4.00%                     0.00% 0.00%
Debt maturity date                                             Aug. 06, 2018 Aug. 06, 2018
Debt principal amount                       $ 32,793                        
Number of restricted stock award issued | shares             15,000                                  
Value of restricted stock award issued             $ 1,950                                  
Interest expense                                             $ 38,000  
Unsecured Note Payable Four [Member] | Oil Gas and Other Minerals [Member]                                                
Royalty percentage                       2.00%                        
Unsecured Note Payable Four [Member] | Expected Life [Member]                                                
Fair value assumptions input, term                       18 days                        
Unsecured Note Payable Four [Member] | Unaffiliated Investor [Member]                                                
Debt instrument interest rate                       10.00%                        
Debt maturity date                       Aug. 06, 2018                        
Debt principal amount                       $ 38,000                        
Original discount                       $ 3,207                        
Number of shares issued | shares                       300,000                        
Number of shares issued, value                       $ 36,000                        
Imputed interest amount                       74                        
Unamortized of debt discount                       74                        
Proceeds from issuance debt                       $ 32,793                        
Unsecured Note Payable Five [Member]                                                
Debt instrument interest rate           9.00%                                 9.00% 9.00%
Debt maturity date           Dec. 15, 2018                                 Dec. 15, 2018 Dec. 15, 2018
Debt principal amount           $ 100,000                                 $ 100,000  
Number of shares issued | shares           250,000                                    
Number of shares issued, value           $ 22,500                                    
Unsecured Note Payable Six [Member]                                                
Debt instrument interest rate       5.00%                                     8.00% 8.00%
Debt maturity date       Oct. 22, 2019                                     Oct. 22, 2018 Oct. 22, 2018
Debt principal amount       $ 50,000                                     $ 50,000  
Number of restricted stock award issued | shares                                             200,000  
Unamortized of debt discount                                             $ 8,986  
Royalty percentage       20.00%                                     0.50%  
Interest expense                                             $ 3,945  
Debt description                                             Upon any default in payment of principal hereunder, the Company shall pay interest on the principal balance of this Note then outstanding and on the accrued but unpaid interest from the date of such default until such default is cured and the Note paid in full at the rate of Fifteen Percent (15%).  
Additional consideration                                             $ 16,000  
Volumetric production payment | Mcfe       1,250                                        
Market price per barrel | $ / shares       $ 40.00                                        
Unsecured Note Payable Seven [Member]                                                
Debt instrument interest rate     10.00%                                       15.00% 15.00%
Debt maturity date     Feb. 05, 2020                                       Feb. 05, 2020 Feb. 05, 2020
Debt principal amount     $ 209,525                                       $ 209,525  
Penalty payment     100,000                                          
Original discount     $ 33,524                                          
Debt instrument failed to pay outstanding principal $ 71,000