Annual report pursuant to Section 13 and 15(d)

CONSOLIDATED STATEMENT OF STOCKHOLDERS' DEFICIT

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CONSOLIDATED STATEMENT OF STOCKHOLDERS' DEFICIT - USD ($)
Preferred Stock
Preferred Stock Series B
Common Stock
Common Stock, Subscribed
Additional Paid-In Capital
Accumulated Deficit
Total
Beginning balance, Amount at Dec. 31, 2015 $ 80,000 $ 164,144,501        
Beginning balance, Shares at Dec. 31, 2015 16,000 164,145 100,000 9,667,934 (13,230,883) (3,282,804)
Common stock issued for services rendered, Amount     $ 8,560   $ 314,501   $ 323,061
Common stock issued for services rendered, Shares     8,560,000        
Series B preferred stock issued for services rendered, Amount   $ 5,616         5,616
Series B preferred stock issued for services rendered, Shares   160,000          
Common stock issued in settlement of related party accounts payable, Amount     $ 3,000   77,433   80,433
Common stock issued in settlement of related party accounts payable, Shares     3,000,000        
Common stock issued in connection with convertible debt, Amount     $ 800   29,200   30,000
Common stock issued in connection with convertible debt, Shares     800,000        
Common stock issued in consideration of loan extension, Amount     $ 300   17,670   17,970
Common stock issued in consideration of loan extension, Shares     300,000        
Sale of common stock, Amount     $ 5,000   95,000   100,000
Sale of common stock, Shares     5,000,000        
Change in fair value of modifications of options         53,858   53,858
Fair value of vested options         183,249   183,249
Reclassify fair value of debt derivative at payoff of note payable         262,271   262,271
Net loss           $ (5,903,982) (5,903,982)
Ending balance, Amount at Dec. 31, 2016 $ 16,000 $ 5,616 $ 181,805 $ 100,000 10,701,116 (19,134,865) (8,130,328)
Ending balance, Shares at Dec. 31, 2016 80,000 160,000 181,804,501        
Common stock issued for services rendered, Amount $ 4,953   426,375 431,328
Common stock issued for services rendered, Shares 4,953,118      
Common stock issued in settlement of convertible debt , Amount     $ 13,662   1,352,538   1,366,200
Common stock issued in settlement of convertible debt , Shares     13,662,000        
Sale of common stock, Amount     $ 43,666   896,334   940,000
Sale of common stock, Shares     43,666,666        
Common stock issuable for services rendered         80,000   80,000
Fair value of vested options         319,460   319,460
Reclassify fair value of debt derivative at payoff of note payable            
Reclassify fair value of debt derivative at modification of note payable         30,806,073   30,806,073
Net loss           (29,705,669) (29,705,669)
Ending balance, Amount at Dec. 31, 2017 $ 16,000 $ 5,616 $ 244,086 $ 100,000 $ 44,581,896 $ (48,840,534) $ (3,892,936)
Ending balance, Shares at Dec. 31, 2017 80,000 160,000 244,086,285