Quarterly report pursuant to Section 13 or 15(d)

Convertible Promissory Notes (Details) (USD $)

v3.5.0.2
Convertible Promissory Notes (Details) (USD $) - USD ($)
9 Months Ended
Sep. 30, 2016
Dec. 31, 2015
Debt Conversion [Line Items]    
Unpaid Note Principal $ 1,261,208  
Unpaid Interest & penalty 346,936  
Notes Payable 1,608,144 $ 2,994,894
Debt discount (27,863) (111,630)
Notes payable, net of debt discount 1,580,281 2,883,264
Subtotal [Member]    
Debt Conversion [Line Items]    
Unpaid Note Principal 1,261,208  
Unpaid Interest & penalty 346,936  
Notes Payable 1,608,144 2,994,894
5BARz [Member]    
Debt Conversion [Line Items]    
Unpaid Note Principal 1,232,808  
Unpaid Interest & penalty 282,480  
Notes Payable $ 1,515,288 2,915,828
Note a [Member]    
Debt Conversion [Line Items]    
Issue Date Dec. 17, 2012  
Unpaid Note Principal $ 80,000  
Unpaid Interest & penalty 27,739  
Notes Payable $ 107,739 99,445
Note b [Member]    
Debt Conversion [Line Items]    
Issue Date Jan. 08, 2013  
Unpaid Note Principal $ 71,244  
Unpaid Interest & penalty 1,618  
Notes Payable $ 72,862 81,977
Note c [Member]    
Debt Conversion [Line Items]    
Issue Date Oct. 06, 2014  
Unpaid Note Principal $ 250,000  
Unpaid Interest & penalty 5,044  
Notes Payable 255,044 253,123
Debt discount $ 27,863  
Note d [Member]    
Debt Conversion [Line Items]    
Issue Date Mar. 06, 2015  
Notes Payable   548,283
Note e [Member]    
Debt Conversion [Line Items]    
Issue Date May 06, 2015  
Notes Payable   138,000
Note f [Member]    
Debt Conversion [Line Items]    
Issue Date May 21, 2015  
Unpaid Note Principal $ 83,000  
Notes Payable $ 83,000 174,064
Note g [Member]    
Debt Conversion [Line Items]    
Issue Date Jun. 15, 2015  
Notes Payable   175,000
Note h [Member]    
Debt Conversion [Line Items]    
Issue Date Jun. 17, 2015  
Unpaid Note Principal $ 52,500  
Unpaid Interest & penalty 10,662  
Notes Payable $ 63,162 82,217
Note i [Member]    
Debt Conversion [Line Items]    
Issue Date Jun. 18, 2015  
Unpaid Note Principal $ 100,000  
Unpaid Interest & penalty 27,977  
Notes Payable $ 127,977 163,956
Note j [Member]    
Debt Conversion [Line Items]    
Issue Date Jun. 18, 2015  
Unpaid Note Principal $ 52,500  
Unpaid Interest & penalty 10,263  
Notes Payable $ 62,763 82,193
Note k [Member]    
Debt Conversion [Line Items]    
Issue Date Jun. 26, 2015  
Unpaid Note Principal $ 104,500  
Unpaid Interest & penalty 95,686  
Notes Payable $ 200,186 176,652
Note l [Member]    
Debt Conversion [Line Items]    
Issue Date Jul. 17, 2015  
Unpaid Note Principal  
Notes Payable   105,282
Note m [Member]    
Debt Conversion [Line Items]    
Issue Date Jul. 30, 2015  
Unpaid Note Principal $ 100,000  
Unpaid Interest & penalty 88,085  
Notes Payable $ 188,500 172,167
Note n [Member]    
Debt Conversion [Line Items]    
Issue Date Aug. 27, 2016  
Unpaid Note Principal $ 22,108  
Notes Payable $ 22,108 92,195
Note o [Member]    
Debt Conversion [Line Items]    
Issue Date Aug. 27, 2016  
Unpaid Note Principal $ 100,000  
Unpaid Interest & penalty 5,041  
Notes Payable $ 105,041 170,764
Note p [Member]    
Debt Conversion [Line Items]    
Issue Date Oct. 07, 2015  
Unpaid Note Principal $ 35,000  
Unpaid Interest & penalty 5,532  
Notes Payable $ 40,532 87,514
Note q [Member]    
Debt Conversion [Line Items]    
Issue Date Oct. 28, 2015  
Unpaid Note Principal $ 76,956  
Notes Payable $ 76,956 152,915
Note r [Member]    
Debt Conversion [Line Items]    
Issue Date Oct. 30, 2015  
Unpaid Note Principal $ 105,000  
Unpaid Interest & penalty 4,418  
Notes Payable $ 109,418 160,081
Note s [Member]    
Debt Conversion [Line Items]    
Issue Date May 24, 2012  
Unpaid Note Principal $ 15,900  
Unpaid Interest & penalty 38,144  
Notes Payable $ 54,044 46,018
Note t [Member]    
Debt Conversion [Line Items]    
Issue Date Sep. 12, 2012  
Unpaid Note Principal $ 12,500  
Unpaid Interest & penalty 26,312  
Notes Payable 38,812 33,048
Notes Payable Cellynx Group Inc. [Member]    
Debt Conversion [Line Items]    
Unpaid Note Principal 28,400  
Unpaid Interest & penalty 64,456  
Notes Payable $ 92,856 $ 79,066