Annual report pursuant to Section 13 and 15(d)

Notes Payable - Promissory Notes (Details Narrative)

v3.10.0.1
Notes Payable - Promissory Notes (Details Narrative)
3 Months Ended 6 Months Ended 9 Months Ended 12 Months Ended
Mar. 31, 2017
USD ($)
Mar. 31, 2016
USD ($)
Jun. 30, 2017
USD ($)
Jun. 30, 2016
USD ($)
Sep. 30, 2017
USD ($)
Sep. 30, 2016
USD ($)
Dec. 31, 2017
USD ($)
$ / shares
shares
Dec. 31, 2016
USD ($)
$ / shares
Dec. 31, 2015
USD ($)
$ / shares
Dec. 31, 2018
USD ($)
May 01, 2018
USD ($)
$ / shares
shares
Debt Conversion [Line Items]                      
Issuance of common stock $ 145,000 $ 1,391,000 $ 211,020 $ 2,437,000 $ 234,820 $ 3,234,000 $ 438,720 $ 3,946,000 $ 2,960,168    
Shares issued for services, Amount 40,000 35,455 55,185 217,140 290,632 331,118 290,632 411,058 1,235,321    
Proceeds from Covertible debenture 49,961 129,442 614,271 1,005,826 2,476,750    
Notes payable 1,121,302   1,150,979   1,503,006   $ 2,230,786 1,270,764 2,883,264    
Note a [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Dec. 01, 2012        
Debt Issuance Value             $ 80,000        
Issuance of common stock (in shares) | shares             1,600,000        
Issuance of common stock             $ 80,000        
Issue date of conversion             Jan. 17, 2013        
Interest Rate             8.00%        
Threshold days             90        
Discount percentage             0.20        
Price per share | $ / shares             $ 0.05        
Accrued interest         36,620   $ 38,971 29,911 19,445    
Notes payable 112,079   114,314   116,620   118,971 109,911 99,445    
Derivative Liability 4,248   65       $ 94 6,219 24,861    
Note b [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Jan. 08, 2013        
Shares issued for services, Amount             $ 147,428        
Conversion of debt to shares 25,000   25,000   49,000   49,000 50,000 48,000    
Accrued expenses added to debt         36,000   $ 48,000 48,000 28,000    
Interest Rate             8.00%        
Threshold days             90        
Discount percentage             0.20        
Price per share | $ / shares             $ 0.05       $ 0.03
Floor stock price | $ / shares             $ 0.05        
Accrued interest 1,703   3,199   4,985   $ 6,564 6,355 5,431    
Notes payable 75,034   88,531   78,316   91,896 86,331 81,977   $ 110,448
Derivative Liability 2,844   51   4,345   $ 36,771 (4,885) 20,494    
Warrants to aquire a second share | shares                     1
Warrant price | $ / shares                     $ 0.20
Warrant Term                     2 years
Note c [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Oct. 06, 2014        
Interest Rate             1.00%        
Price per share | $ / shares             $ 0.05        
Loan Agreement             $ 1,500,000        
Proceeds from Covertible debenture             250,000        
Accrued interest         1,917   2,516 2,548 2,516    
Notes payable 256,317   256,956   257,604   $ 258,254 255,687 253,123    
Warrant price | $ / shares             $ 0.20        
Warrant Term             5 years        
Fair value of warrants             $ 282,767        
Note d [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Mar. 06, 2015        
Interest Rate             15.00%        
Price per share | $ / shares             $ 0.05        
Loan Agreement             $ 400,000        
Proceeds from Covertible debenture             $ 400,000        
Extension Interest rate             10.00%        
Accrued interest             $ 60,000        
Extension fee             $ 40,000        
Notes payable                 $ 548,283    
Warrants to purchase | shares             12,441,667        
Note e [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             May 04, 2015        
Interest Rate             12.00%        
Price per share | $ / shares                 $ 0.041    
Loan Agreement             $ 250,000        
Proceeds from Covertible debenture             100,000        
Original Issue Discount             $ 10,000        
Notes payable                 $ 138,000    
Note f [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             May 21, 2015        
Interest Rate             12.00%        
Loan Agreement             $ 200,000        
Proceeds from Covertible debenture             100,000        
Original Issue Discount             $ 10,000        
Notes payable               $ 47,191 174,064    
Note g [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Jun. 15, 2015        
Price per share | $ / shares             $ 0.05        
Loan Agreement             $ 125,000        
Proceeds from Covertible debenture             102,500        
Accrued interest             $ 22,500        
Notes payable                 175,000    
Note h [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Jun. 17, 2015        
Interest Rate             8.00%        
Price per share | $ / shares               $ 0.08      
Loan Agreement             $ 52,500        
Proceeds from Covertible debenture             50,000        
Interest Expense             2,500        
Notes payable 74,094   76,976   79,889   $ 82,802 $ 83,733 82,217    
Note i [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Jun. 18, 2015        
Interest Rate             10.00%        
Price per share | $ / shares             $ 0.0312        
Loan Agreement             $ 105,000        
Proceeds from Covertible debenture             100,000        
Interest Expense             $ 5,000        
Notes payable 25,000   32,678       25,000 163,956    
Note j [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Jun. 18, 2015        
Interest Rate                   8.00%  
Loan Agreement                   $ 52,500  
Proceeds from Covertible debenture             $ 50,000        
Interest Expense             2,500        
Accrued interest                   $ 34,856  
Notes payable 67,165   69,852   72,677   $ 75,616 64,609 82,193    
Note k [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Jun. 26, 2015        
Interest Rate             12.00%        
Loan Agreement             $ 110,000        
Proceeds from Covertible debenture             104,500        
Original Issue Discount             5,500        
Notes payable 177,424   166,667   100,000   $ 66,667 177,424 176,652    
Note l [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Jul. 17, 2015        
Interest Rate             10.00%        
Price per share | $ / shares             $ 0.044        
Loan Agreement             $ 66,250        
Proceeds from Covertible debenture             $ 60,000        
Notes payable               54,713 105,282    
Note m [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Jul. 30, 2015        
Interest Rate             10.00%        
Loan Agreement             $ 110,000        
Proceeds from Covertible debenture             100,000        
Notes payable 96,871   96,871   61,742   $ 61,742 158,476 172,167    
Note n [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Aug. 27, 2015        
Interest Rate             12.00%        
Loan Agreement             $ 59,000 83,900      
Proceeds from Covertible debenture             $ 55,000        
Notes payable                 92,195    
Note o [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Aug. 27, 2015        
Interest Rate             10.00%        
Price per share | $ / shares             $ 0.045        
Loan Agreement             $ 110,000 168,065      
Proceeds from Covertible debenture             100,000        
Original Issue Discount             10,000        
Notes payable 84,033   8,454     $ 321,980 84,033 170,764    
Note p [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Oct. 09, 2015        
Interest Rate             8.00%        
Loan Agreement             $ 85,000        
Extension Interest rate             20.00%        
Notes payable                 87,514    
Note q [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Oct. 28, 2015        
Interest Rate             12.00%        
Price per share | $ / shares             $ 0.05        
Loan Agreement             $ 100,000        
Notes payable               25,651 152,912    
Note r [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Oct. 30, 2015        
Interest Rate             8.00%        
Loan Agreement             $ 105,000        
Proceeds from Covertible debenture             $ 100,000        
Notes payable               54,713 160,081    
Note s [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Dec. 12, 2017        
Interest Rate             10.00%        
Loan Agreement             $ 1,005,826        
Notes payable 49,961   130,690   621,124   $ 1,031,446        
Note t [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             May 24, 2012        
Interest Rate             8.00%        
Proceeds from Covertible debenture             $ 37,500        
Notes payable 60,135   63,434   66,952   $ 70,664 57,041 46,018    
Note u [Member]                      
Debt Conversion [Line Items]                      
Original Issue Date             Sep. 12, 2012        
Interest Rate             8.00%        
Proceeds from Covertible debenture             $ 12,500        
Notes payable $ 43,186   $ 45,555   $ 48,082   $ 50,748 $ 40,964 $ 33,048