Quarterly report pursuant to Section 13 or 15(d)

Temporary Equity And Stockholders??? Deficiency (Details Narrative)

v3.8.0.1
Temporary Equity And Stockholders’ Deficiency (Details Narrative) - USD ($)
3 Months Ended 12 Months Ended
Feb. 14, 2018
Mar. 31, 2018
Mar. 31, 2017
Dec. 31, 2017
Common stock issued under 401(k) profit sharing plan, value   $ 81,399    
Proceeds from issuance of common stock   $ 40,500  
Foreign currency translation adjustments   (285,609) 200,259  
Options exercise price $ 0.77      
Fair value of vesting period $ 610,985      
Risk free interest rate 2.56%      
Expected terms 5 years      
Expected volatility 43.50%      
Expected dividends 0.00%      
Share based compensation   $ 183,220 163,424  
Employee service share-based compensation, nonvested awards, compensation cost not yet recognized, period for recognition   2 years 6 months    
Non Employee [Member]        
Employee service share-based compensation, nonvested awards, compensation not yet recognized, stock options   $ 515,369    
Options [Member]        
Number of granted options   1,304,328    
Employee service share-based compensation, nonvested awards, compensation not yet recognized, stock options   $ 1,900,595    
First Anniversary [Member]        
Vesting percentage 25.00%      
Vested period 4 years      
401(k) Profit Sharing Plan [Member]        
Shares issued, price per share   $ 0.70    
Common stock issued under 401(k) profit sharing plan, value   $ 81,399    
2016 Stock Options Plan [Member]        
Stock options term 5 years      
Number of granted options 1,304,328      
Common Stock [Member]        
Common stock issued under 401(k) profit sharing plan, shares   116,284    
Common stock issued under 401(k) profit sharing plan, value   $ 1,163    
Series B Preferred Stock [Member]        
Preferred stock dividend rate   8.00%    
Liquidation value per share       $ 10
Dividends declared on preferred stock   $ 155,791 $ 3,053  
Preferred stock, amount of cumulative dividends dividends in arrears   $ 438,354   $ 284,564