Annual report pursuant to Section 13 and 15(d)

Debt (Tables)

v3.7.0.1
Debt (Tables)
12 Months Ended
Dec. 31, 2016
Debt [Abstract]  
Schedule of convertible notes
    December 31,     December 31,  
    2016     2015  
Convertible Notes - December 22, 2015   $ -     $ 190,000  
Convertible Note - December 10, 2015     -       90,000  
Convertible Note -May 24, 2016     21,900       -  
Convertible Note -August 9, 2016     35,000       -  
Convertible Note – October 5, 2016     363,768          
Convertible Note -November 14, 2016     35,000       -  
Convertible Note -November 26, 2016     63,260          
Less debt discount and debt issuance costs     (285,781 )     (29,152 )
Total   $ 233,147     $ 250,848  
Less current portion of convertible notes payable   $ 233,147     $ 50,574  
Long-term convertible notes payable   $ -     $ 200,274  
Schedule on loan agreement
    Outstanding Balances as of  
    December 31,
2016
    December 31, 
2015
 
September 29, 2015   $ -     $ 25,000  
October 28, 2015     -       25,000  
November 4, 2015     -       25,000  
November 13, 2015     -       25,000  
November 20, 2015     15,000       25,000  
December 1, 2015     25,000       25,000  
December 2, 2015     25,000       25,000  
April 6, 2016     10,000       -  
April 27, 2016     25,000       -  
July 20, 2016     25,000       -  
August 8, 2016     25,000       -  
September 19, 2016     25,000       -  
December 1, 2016     25,000          
    $ 200,000     $ 175,000