Annual report pursuant to Section 13 and 15(d)

Nature of Operations and Business Activities (Detail Textuals)

v3.20.4
Nature of Operations and Business Activities (Detail Textuals) - USD ($)
1 Months Ended 2 Months Ended 12 Months Ended
Aug. 31, 2020
Jul. 31, 2020
Apr. 29, 2020
Feb. 23, 2021
Dec. 31, 2020
Dec. 31, 2019
Apr. 22, 2020
Nov. 30, 2018
Nature Of Operations And Business Activities [Line Items]                
Accumulated deficit         $ 38,733,981 $ 32,173,282    
Cash         $ 2,469,410 1,829,977    
Description of senior management's compensation plan Upon the closing of the August 2020 Financing, the Company’s Board of Directors determined that the Company had been sufficiently financed to pay the deferred salaries and fees, including a 10% retention bonus, to management and the Board in the aggregate amount of $293,078.       During March 2020, the Company approved a plan to defer up to 50% of the members of senior management’s compensation and 100% of the Board of Director and committee fees indefinitely.      
Proceeds from warrant exercises         $ 48,533 $ 4,080,000    
Subsequent Event                
Nature Of Operations And Business Activities [Line Items]                
Proceeds from warrant exercises       $ 3,019,800        
Common Stock Warrants | Subsequent Event                
Nature Of Operations And Business Activities [Line Items]                
Proceeds from warrant exercises       3,008,000        
Pre-funded Warrants                
Nature Of Operations And Business Activities [Line Items]                
Warrants to purchase shares of common stock issued and outstanding         48,533,334      
Pre-funded Warrants | Subsequent Event                
Nature Of Operations And Business Activities [Line Items]                
Proceeds from warrant exercises       $ 11,800        
Paycheck Protection Program Promissory Note (PPP Note)                
Nature Of Operations And Business Activities [Line Items]                
Principal amount of promissory Note             $ 116,700  
Multi-Draw Credit Agreement                
Nature Of Operations And Business Activities [Line Items]                
Exercise Price           $ 0.50   $ 0.50
Principal amount of promissory Note           $ 4,000,000    
Amended and Restated Multi-Draw Credit Agreement                
Nature Of Operations And Business Activities [Line Items]                
Credit facility advances     $ 6,000,000          
Principal amount of credit facility     20,000,000          
Draw downs loans In aggregate principal amount     $ 6,000,000          
Warrants to purchase shares of common stock issued and outstanding     7,500,000          
Exercise Price     $ 0.50          
Fourth amended and Restated Multi-Draw Credit Agreement                
Nature Of Operations And Business Activities [Line Items]                
Credit facility advances per month         $ 150,000      
Fifth amended and Restated Multi-Draw Credit Agreement                
Nature Of Operations And Business Activities [Line Items]                
Credit facility advances per month         $ 300,000      
Securities Purchase Agreement with H.C. Wainwright & Co., LLC                
Nature Of Operations And Business Activities [Line Items]                
Number of common stock units sold   56,333,334            
Number of pre-funded units sold   60,333,334            
Gross proceeds of units sold   $ 6,085,589            
Securities Purchase Agreement with H.C. Wainwright & Co., LLC | Common Stock Warrants                
Nature Of Operations And Business Activities [Line Items]                
Exercise Price   $ 0.06            
Expected Term   5 years            
Securities Purchase Agreement with H.C. Wainwright & Co., LLC | Pre-funded Warrants                
Nature Of Operations And Business Activities [Line Items]                
Exercise Price   $ 0.001