Equity Transactions (Details Narrative) - USD ($)
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1 Months Ended |
3 Months Ended |
9 Months Ended |
12 Months Ended |
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Sep. 24, 2020 |
Sep. 11, 2020 |
Jul. 29, 2020 |
Jul. 28, 2020 |
Apr. 23, 2020 |
Feb. 06, 2019 |
Jan. 08, 2019 |
Feb. 29, 2020 |
Aug. 31, 2019 |
Mar. 31, 2019 |
Feb. 28, 2019 |
Sep. 30, 2020 |
Sep. 30, 2019 |
Mar. 31, 2019 |
Sep. 30, 2020 |
Sep. 30, 2019 |
Dec. 31, 2019 |
Apr. 05, 2019 |
Jan. 09, 2019 |
Common stock, par value |
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$ 0.001
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$ 0.001
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$ 0.001
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Additional paid-in capital |
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$ 42,489,998
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$ 42,489,998
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$ 28,172,146
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Accumulated deficit |
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(42,298,423)
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(42,298,423)
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(37,362,531)
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Non-controlling interest |
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(370,132)
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(370,132)
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(370,132)
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Proceeds from debt |
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809,082
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$ 277,519
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Shares issued price per share |
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$ 0.40
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$ 0.40
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Shares issued during period, value |
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$ 77,364
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4,419,787
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Debt instrument converted shares |
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250,000
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Number of shares issued for consulting fees |
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130,085
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Number of shares issued for consulting fees, value |
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$ 52,033
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Value of shares issued for services |
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43,499
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Authorized shares, description |
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The Company filed its Second Amended and Restated Certificate of Incorporation (the "Amended COI"). The Amended COI provides for the issuance of up 1,600,000,000 shares of Common Stock and 1,000,000,000 shares of Preferred Stock, of which 800,000,000 shares are designated as Series A Preferred Stock and eliminates the previously authorized classes of preferred stock. The Amended COI also delineates the rights of the Series A Preferred Stock.
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Management fee |
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0
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LilyCon Investments, LLC [Member] |
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Shares issued price per share |
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$ 0.32
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Number of shares issued for services |
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109,375
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Value of shares issued for services |
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$ 35,000
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Home Management LLC [Member] |
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Debt instrument face amount |
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$ 1,717,000
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Debt instrument converted shares |
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4,368,278
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Debt conversion price per share |
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$ 0.014
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Minimum [Member] |
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Shares issued during period, value |
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$ 5,650,000
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Convertible Note [Member] |
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Debt instrument face amount |
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750,000
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750,000
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Fair value of notes payable |
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598,000
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598,000
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Consultants [Member] |
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Shares issued price per share |
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$ 0.29
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Number of shares issued for services |
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150,000
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Value of shares issued for services |
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$ 43,500
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CEO [Member] | Restricted Stock Award [Member] |
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Compensation expense |
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$ 0
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1,500
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$ 1,000
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$ 94,000
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Securities Purchase Agreement [Member] | Convertible Note [Member] |
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Cancellation of debt |
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$ 100,000
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Debt instrument converted shares |
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250,000
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Debt conversion price per share |
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$ 0.40
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Debt instrument converted value |
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$ 100,000
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Securities Purchase Agreement [Member] | Four Purchasers [Member] |
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Debt instrument face amount |
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$ 2,000,000
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Proceeds from debt |
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1,800,000
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Cancellation of debt |
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$ 200,000
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Securities Purchase Agreement [Member] | Four Purchasers [Member] | Convertible Note [Member] |
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Debt instrument face amount |
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$ 50,000
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Shares issued price per share |
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$ 0.75
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Securities Purchase Agreement [Member] | Additional Purchasers [Member] |
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Aggregate amount of capital raised |
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$ 7,000,000
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Employment Agreement [Member] | CEO [Member] | Stock Option [Member] |
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Number of options to purchase shares of common stock | |
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250,000
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Common Stock [Member] |
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Number of shares converted |
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17,263,889
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Shares issued during period, value |
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$ 200
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$ 17,700
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Number of shares issued for services |
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150,000
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130,085
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Value of shares issued for services |
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$ 150
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$ 130
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Shares issued during period shares |
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200,000
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17,700,000
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Potentially anti-dilutive, share |
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410,000
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517,508
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Common Stock [Member] | Home Management LLC [Member] |
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Shares issued during period, value |
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$ 218,000
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Warrants [Member] |
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Potentially anti-dilutive, share |
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547,274,650
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413,131,562
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32,756,180
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Warrants [Member] | Home Management LLC [Member] |
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Shares issued during period, value |
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$ 199,000
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Warrants [Member] | Convertible Notes and Promissory Note [Member] |
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Debt instrument converted value |
$ 5,487,869
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Warrants [Member] | Securities Purchase Agreement [Member] |
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Debt conversion price per share |
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$ 0.40
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Warrants [Member] | Securities Purchase Agreement [Member] | 90% of the Conversion Price [Member] |
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Debt conversion price per share |
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$ 0.36
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Series B and Series D Preferred Stock [Member] |
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Debt instrument converted shares |
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17,893,075
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Series C Preferred Stock [Member] |
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Number of additional exchange shares issued |
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17,264
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Series A Preferred Stock [Member] |
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Shares issued price per share |
$ 0.014
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Debt instrument converted shares |
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75,162,429
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Shares issued during period shares |
15,235,381
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Proceeds from offering |
$ 320,000
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Common stock conversion ratio |
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Common stock at a 1:1 ratio
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Preferred stock, par value |
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$ .001
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$ .001
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$ 0.001
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Series A Preferred Stock [Member] | Promissory Note [Member] |
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Shares issued during period shares |
323,844,416
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Series A Preferred Stock [Member] | Convertible Notes and Promissory Note [Member] |
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Shares issued during period shares |
323,844,416
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Series A Preferred Stock [Member] | Purchasers [Member] |
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Shares issued during period shares |
203,049,643
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Proceeds from offering |
$ 3,055,985
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Series A Preferred Stock [Member] | Warrants [Member] |
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Debt instrument converted value |
$ 5,487,869
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Series B Preferred Stock [Member] |
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Number of shares converted |
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715,279
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Debt instrument converted shares |
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2,119,713
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Beneficial conversion feature |
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$ 33,000
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Number of common stock shares sold |
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9,250
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Preferred stock, par value |
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$ 0.001
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Series B Preferred Stock [Member] | Accrued Dividends [Member] |
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Number of shares converted |
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2,650
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RMS [Member] |
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Common stock, par value |
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$ 33,700
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$ 33,700
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Additional paid-in capital |
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$ 3,566,000
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$ 3,566,000
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Accumulated deficit |
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9,296,000
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9,296,000
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Non-controlling interest |
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$ 370,000
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$ 370,000
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RMS [Member] | Common Stock [Member] |
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Number of shares converted |
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33,661,000
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RMS [Member] | Series C Preferred Stock [Member] |
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Number of shares issued for acquisition |
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33,661
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