Consolidated Statements of Changes in Stockholder's Equity (Deficit) - USD ($)
Series A Preferred Stock [Member]
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings (Accumulated Deficit) [Member]
Total Blue Star Foods Corp. Stockholder's Deficit [Member]
Non-Controlling Interest [Member]
Total
Balance at Dec. 29, 2017 $ 1,500 $ 558,257 $ (1,494,927) $ (935,170) $ (317,378) $ (1,252,548)
Balance, shares at Dec. 29, 2017 15,000,000          
606 Adjustment to January 1, 2018 (81,520) (81,520) (81,520)
Balance at Jan. 02, 2018 $ 1,500 558,257 (1,576,447) (1,016,690) (317,378) (1,334,068)
Balance, shares at Jan. 02, 2018 15,000,000          
Balance at Dec. 31, 2017 $ 1,500 558,257 (1,494,927) (935,170) (317,378) (1,334,068)
Balance, shares at Dec. 31, 2017 15,000,000          
Reverse Merger recapitalization $ 75 (2,475) (2,400) (2,400)
Reverse Merger recapitalization, shares 750,000          
Common stock issued for Services $ 27 529,974 530,001 530,001
Common stock issued for Services, shares 265,000          
Preferred Stock and Common stock issued for cash 725,000 725,000 725,000
Preferred Stock and Common stock issued for cash, shares 725            
Preferred Stock Issued in Connection with SOR investors 688,000 688,000 688,000
Preferred Stock Issued in Connection with SOR investors, shares 688            
Option Expense 808,338 808,338 808,338
Warrant Expense 81,353 81,353 81,353
Series A 8% Dividends issued in common stock $ 1 16,327 (16,328)
Series A 8% Dividends issued in common stock, shares 8,164          
Net Loss (2,260,364) (2,260,364) (16,752) (2,277,116)
Comprehensive loss (38,622) (38,622)
Balance at Dec. 31, 2018 $ 1,603 3,404,774 (3,853,139) (446,762) (372,752) (819,514)
Balance, shares at Dec. 31, 2018 1,413 16,023,164          
Common stock issued for Services $ 20 397,022 397,042 397,042
Common stock issued for Services, shares 198,521          
Preferred Stock and Common stock issued for cash $ 2 31,998 32,000 $ 32,000
Preferred Stock and Common stock issued for cash, shares 16,000         11,000
Cancellation of Issued Shares for Cash $ (1) (9,999) (10,000) $ (10,000)
Cancellation of Issued Shares for Cash, shares (5,000)          
Common Stock Incentive Issued to Employees $ 1 10,999 11,000 11,000
Common Stock Incentive Issued to Employees, shares 5,500          
Common Stock Issued For Coastal Pride Acquisition $ 130 2,589,870 2,590,000 2,590,000
Common Stock Issued For Coastal Pride Acquisition, shares 1,295,000          
Stock Based Compensation 2,251,322 2,251,322 2,251,322
Series A 8% Dividends issued in common stock $ 6 113,035 (113,041)
Series A 8% Dividends issued in common stock, shares 56,520          
Net Loss (4,986,286) (4,986,286) (35,417) (5,021,703)
Comprehensive loss 50,141 50,141
Balance at Dec. 31, 2019 $ 1,761 $ 8,789,021 $ (8,952,466) $ (161,684) $ (358,028) $ (519,712)
Balance, shares at Dec. 31, 2019 1,413 17,589,705