Annual report pursuant to Section 13 and 15(d)

Notes Payable - Schedule of Notes Payable (Details) (Parenthetical)

v3.21.1
Notes Payable - Schedule of Notes Payable (Details) (Parenthetical) - USD ($)
12 Months Ended
Aug. 31, 2019
Dec. 31, 2020
Hydrofarm Note Payable [Member]    
Debt interest rate   8.00%
Periodic payment frequency   quarterly
Paycheck Protection Program Loan Payable [Member]    
Debt interest rate   1.00%
Debt maturity date   Aug. 01, 2021
Debt maturity term   2 years
Unsecured Note Payable [Member]    
Debt annual rate   20.40%
Debt interest rate 9.00%  
Debt maturity date Mar. 31, 2020  
Stock issued in consideration for extending due date of note, shares   500
Unsecured Note Payable One [Member]    
Debt annual rate   18.00%
Debt interest rate 9.00%  
Debt maturity date Mar. 31, 2020  
Stock issued in consideration for extending due date of note, shares   500
Periodic payment frequency   monthly
Secured Note Payable [Member]    
Debt maturity date   May 07, 2020
Periodic payment frequency   32 weekly payments
Debt closing fees   $ 30,000
Debt periodic payment   42,190
Debt instrument principal amount   $ 1,350,000