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Consolidated Statement of Changes in Stockholders' Deficit - USD ($)
Class E
Preferred Stock
Series F
Preferred Stock
Series G
Preferred Stock
Common Stock
Additional Paid-in Capital
Accumulated Deficit
Total
Balance at Jun. 30, 2020 $ 50     $ 59,539 $ 15,697,140 $ (23,496,792) $ (7,740,063)
Balance (in Shares) at Jun. 30, 2020 500,000     3,140,196 [1]      
Common stock issued for services       $ 10,580 2,767,970   2,778,550
Common stock issued for services (in Shares) [1]       529,000      
Common stock issued in exchange for debt reduction       $ 138,281 12,892,954   13,031,235
Common stock issued in exchange for debt reduction (in Shares) [1]       6,914,064      
Issuance of common stock to warrant holders      
Issuance of common stock to warrant holders (in Shares) [1]       1,248,961      
Commitment shares issued       $ 5,750 1,171,250   1,177,000
Commitment shares issued (in Shares) [1]       287,500      
Common stock issued under Equity Purchase Agreement       $ 65,594 13,535,735   13,601,329
Common stock issued under Equity Purchase Agreement (in Shares) [1]       3,279,693      
Common stock issued in acquisition       $ 1,000 150,000   151,000
Common stock issued in acquisition (in Shares) [1]       50,000      
Common stock issued as collateral      
Common stock issued as collateral (in Shares) [1]       250,000      
Consolidated net loss     (24,434,336) (24,434,336)
Balance at Jun. 30, 2021 $ 50 $ 280,744 [1] 46,215,049 (47,931,128) $ (1,435,285)
Balance (in Shares) at Jun. 30, 2021 500,000 15,699,414 [1]     15,449,221
Common stock issued for services     $ 250 [1] 32,500 $ 32,750
Common stock issued for services (in Shares)     12,500 [1]      
Fair value of warrants            
Common stock issued under Equity Purchase Agreement     $ 9,000 [1] 1,082,000 1,091,000
Common stock issued under Equity Purchase Agreement (in Shares)     450,000 [1]      
Consolidated net loss       [1] (386,027) (386,027)
Consolidated net loss (in Shares) [1]            
Balance at Sep. 30, 2021 $ 50     $ 289,994 [1] 47,329,549 (48,317,155) (697,562)
Balance (in Shares) at Sep. 30, 2021 500,000     16,161,914 [1]      
Balance at Jun. 30, 2021 $ 50 $ 280,744 [1] 46,215,049 (47,931,128) $ (1,435,285)
Balance (in Shares) at Jun. 30, 2021 500,000 15,699,414 [1]     15,449,221
Common stock issued for services $ 1,470 109,382 $ 110,852
Common stock issued for services (in Shares) 73,517 [1]      
Common stock issued under Purchase Agreement $ 10,000 490,000 500,000
Common stock issued under Purchase Agreement (in Shares) 500,000 [1]      
Commitment shares issued $ 6,400 807,350 813,750
Commitment shares issued (in Shares) 1,812,500 [1]      
Common stock issued under Equity Purchase Agreement $ 22,500 2,121,000 2,143,500
Common stock issued under Equity Purchase Agreement (in Shares) 1,125,000 [1]      
Retirement of Series E Preferred $ (50) (50)
Retirement of Series E Preferred (in Shares) (500,000) [1]      
Issuance of Series F Preferred $ 11 1,824,989 1,825,000
Issuance of Series F Preferred (in Shares) 11,414 [1]      
Issuance of Series G Preferred      
Issuance of Series G Preferred (in Shares)     51        
Cancellation of fractional shares of common stock resulting from reverse split (Note 1)
Cancellation of fractional shares of common stock resulting from reverse split (Note 1) (in Shares) (241,303) [1]      
Common stock issued as charitable donation $ 20 61,980 62,000
Common stock issued as charitable donation (in Shares) 200,000 [1]      
Consolidated net loss       (6,250,956) (6,250,956)
Balance at Jun. 30, 2022 $ 11 $ 321,134 [1] 51,629,750 (54,182,084) $ (2,231,189)
Balance (in Shares) at Jun. 30, 2022 11,414 51 19,169,128 [1]     19,168,935
Common stock issued for services   $ 107 [1] 188,021 $ 188,128
Common stock issued for services (in Shares)   1,070,922 [1]      
Commitment shares issued   $ 80 [1] 144,720 144,800
Commitment shares issued (in Shares)   800,000 [1]      
Common stock issued for charitable donation   $ 35 [1] 52,465 52,500
Common stock issued for charitable donation (in Shares)   350,000 [1]      
Fair value of warrants   [1] 150,000 150,000
Fair value of warrants (in Shares)   [1]      
Return of common stock   [1]
Return of common stock (in Shares)   (36,500) [1]      
Consolidated net loss   [1] (1,553,643) (1,553,643)
Consolidated net loss (in Shares) [1]            
Balance at Sep. 30, 2022   $ 11 $ 321,356 [1] $ 52,164,956 $ (55,735,727) $ (3,249,404)
Balance (in Shares) at Sep. 30, 2022   11,414 51 21,353,550 [1]     21,353,357
[1] All share amounts, including those in the accompany notes, have been adjusted to reflect a 1:200 reverse split effective March 7, 2022.