Annual report pursuant to Section 13 and 15(d)

STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY

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STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY - USD ($)
Preferred Stock [Member]
Common Stock [Member]
Additional Paid-In Capital [Member]
Accumulated Deficit [Member]
Total
Balance, beginning at Dec. 31, 2015   $ 42,840 $ 9,129,629 $ (6,091,841) $ 3,080,628
Balance, beginning (in shares) at Dec. 31, 2015   42,839,958      
Increase (Decrease) in Stockholders' Equity          
Shares issued for settlement of payables   $ 1,581 118,565   120,146
Shares issued for settlement of payables (in shares)   1,581,098      
Stock based compensation - directors     209,125   209,125
Stock-based compensation - employees   $ 800 149,990   150,790
Stock-based compensation - employees (in shares)   800,000      
Shares issued for issuance of common stock for cash   $ 1,625 109,727   111,352
Shares issued for issuance of common stock for cash (in shares)   1,625,000      
Shares issued related to acquisitions   $ 28,809 4,744,377   4,773,186
Shares issued related to acquisitions (in shares)   28,808,985      
Warrants issued for note extension     79,223   79,223
Warrants issued for loans     38,622   38,622
Shares issued for conversion of shareholder advances   $ 1,910 148,090   150,000
Shares issued for conversion of shareholder advances (in shares)   1,910,714      
Warrants issued for PORRI equity offering     14,336   14,336
Shares issued for extinguishment of debt   $ 1,469 145,406   146,875
Shares issued for extinguishment of debt (in shares)   1,468,750      
Net Loss       (1,875,779) (1,875,779)
Balance, ending at Dec. 31, 2016   $ 79,034 14,887,090 (7,967,620) 6,998,504
Balance, ending (in shares) at Dec. 31, 2016   79,034,505      
Increase (Decrease) in Stockholders' Equity          
Shares issued for settlement of payables   $ 1,400 178,119    
Shares issued for settlement of payables (in shares)   1,400,000      
Shares issued for conversion of debt   $ 271 32,260    
Shares issued for conversion of debt (in shares)   271,096      
Stock based compensation - directors   $ 200 393,954    
Stock based compensation - directors (in shares)   200,000      
Stock-based compensation - employees   $ 1,700 324,047    
Stock-based compensation - employees (in shares)   1,700,000      
Shares issued for issuance of common stock for cash   $ 2,892 320,108   323,000
Shares issued for issuance of common stock for cash (in shares)   2,891,669      
Shares issued for issuance of common stock Related Party   $ 1,452 110,613   112,065
Shares issued for issuance of common stock Related Party (in shares)   1,451,667      
Warrants issued for loans     385,922    
Shares and warrants issued for conversion of Notes payable to related party   $ 22,749 3,884,057    
Shares and warrants issued for conversion of Notes payable to related party (in shares)   22,749,285      
Shares issued to related party for guarantor fee   $ 2,000 244,000    
Shares issued to related party for guarantor fee (in shares)   2,000,000      
Shares issued for cash $ 24   240,976    
Shares issued for cash (in shares) 24,100        
Shares issued for conversion of shareholder advances $ 27   270,873    
Shares issued for conversion of shareholder advances (in shares) 27,090        
Shares issued for conversion of debt $ 42   420,058    
Shares issued for conversion of debt (in shares) 42,010        
Shares issued for conversion of related party debt $ 61   603,940    
Shares issued for conversion of related party debt (in shares) 60,400        
Shares issued for purchase of equipment $ 3   29,997    
Shares issued for purchase of equipment (in shares) 3,000        
Shares issued for conversion of TORRI $ 23   230,977    
Shares issued for conversion of TORRI (in shares) 23,100        
Shares issued for conversion of TORRI, a related party $ 17   173,983    
Shares issued for conversion of TORRI, a related party (in shares) 17,400        
Series A Preferred Dividends       (94,479) 94,479
Net Loss       (3,261,284) (3,261,284)
Balance, ending at Dec. 31, 2017 $ 197 $ 111,698 $ 22,730,974 $ (11,323,383) $ 11,519,486
Balance, ending (in shares) at Dec. 31, 2017 197,100 111,698,222