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Consolidated Statement of Changes in Stockholders' Equity (Deficit) (Unaudited) - USD ($)
Common Stock [Member]
Preferred Stock Series E [Member]
Series F Preferred Shares [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
Total
Beginning Balance at Jun. 30, 2020 $ 59,539 [1] $ 50   $ 15,697,140 $ (23,496,792) $ (7,740,063)
Beginning Balance (in Shares) at Jun. 30, 2020 3,140,196 [1] 500,000        
Common Stock issued for services $ 10,580 [1]     2,767,970   2,778,550
Common Stock issued for services (in Shares) [1] 529,000          
Common stock issued for debt reduction $ 138,281 [1]     12,892,954   13,031,235
Common stock issued for debt reduction (in Shares) [1] 6,914,064          
Issuance of common stock to warrant holders (in Shares) [1] 1,248,961          
Common stock issued under Equity Purchase Agreement $ 37,700 [1]     8,254,700   8,292,400
Common stock issued under Equity Purchase Agreement (in Shares) [1] 1,885,000          
Common stock issued as collateral (in Shares) [1] 250,000          
Common stock issued in acquisition $ 1,000 [1]     150,000   151,000
Common stock issued in acquisition (in Shares) [1] 50,000          
Commitment shares issued $ 5,750 [1]     1,171,250   1,177,000
Commitment shares issued (in Shares) [1] 287,500          
Consolidated net loss [1]       (23,793,148) (23,793,148)
Ending Balance at Mar. 31, 2021 $ 252,850 [1] $ 50   40,934,014 (47,289,940) (6,103,026)
Ending Balance (in Shares) at Mar. 31, 2021 14,304,721 [1] 500,000        
Beginning Balance at Jun. 30, 2021 $ 280,744 [1] $ 50 46,215,049 (47,931,128) $ (1,435,285)
Beginning Balance (in Shares) at Jun. 30, 2021 15,699,414 [1] 500,000     15,449,221
Common Stock issued for services $ 1,470 [1]     109,382   $ 110,852
Common Stock issued for services (in Shares) [1] 73,517          
Common stock issued under Equity Purchase Agreement $ 32,500 [1]     2,611,000   2,643,500
Common stock issued under Equity Purchase Agreement (in Shares) [1] 1,625,000          
Preferred Series F issued in exchange for debt [1]   $ 11 1,824,989   1,825,000
Preferred Series F issued in exchange for debt (in Shares) [1]   11,414      
Retirement of Preferred Series E [1] $ (50)       (50)
Retirement of Preferred Series E (in Shares) [1] (500,000)        
Commitment shares issued $ 6,250 [1]     350,000   356,250
Commitment shares issued (in Shares) [1] 312,500          
Cancellation of fractional shares of common stock resulting from reverse split (Note 1) (in Shares) [1] (241,303)          
Consolidated net loss [1]       (3,878,517) (3,878,517)
Ending Balance at Mar. 31, 2022 $ 320,964 [1] $ 11 $ 51,110,420 $ (51,809,645) $ (378,250)
Ending Balance (in Shares) at Mar. 31, 2022 17,469,128 [1] 11,414     17,430,503
[1] All share amounts, including those in the accompanying notes, have been adjusted to reflect a 1:200 reverse split effective March 7, 2022.