Annual report pursuant to Section 13 and 15(d)

Fair Value Measurements (Details Narrative)

v3.19.1
Fair Value Measurements (Details Narrative)
12 Months Ended
Dec. 31, 2018
September 2016 warrants re-valuation  
Assumptions used to determine fair value of warrants, dividend yield 0.00%
Assumptions used to determine fair value of warrants, risk-free interest rate 2.46%
Assumptions used to determine fair value of warrants, expected life 2 years 9 months
Assumptions used to determine fair value of warrants, volatility 220.747%
March 2017 warrants valuation  
Assumptions used to determine fair value of warrants, dividend yield 0.00%
Assumptions used to determine fair value of warrants, risk-free interest rate 2.46%
Assumptions used to determine fair value of warrants, expected life 3 years 9 months
Assumptions used to determine fair value of warrants, volatility 228.164%
March 6, 2018 warrants valuation  
Assumptions used to determine fair value of warrants, dividend yield 0.00%
Assumptions used to determine fair value of warrants, risk-free interest rate 2.51%
Assumptions used to determine fair value of warrants, expected life 4 years 9 months
Assumptions used to determine fair value of warrants, volatility 215.957%
March 16, 2018 warrants valuation  
Assumptions used to determine fair value of warrants, dividend yield 0.00%
Assumptions used to determine fair value of warrants, risk-free interest rate 2.46%
Assumptions used to determine fair value of warrants, expected life 2 years 3 months
Assumptions used to determine fair value of warrants, volatility 267.01%
August 21, 2018 warrants valuation  
Assumptions used to determine fair value of warrants, dividend yield 0.00%
Assumptions used to determine fair value of warrants, risk-free interest rate 2.51%
Assumptions used to determine fair value of warrants, expected life 5 years 3 months
Assumptions used to determine fair value of warrants, volatility 211.637%