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DEBT (Tables)
3 Months Ended
Jul. 31, 2019
Schedule of Notes Payable

 

 

July 31, 2019

 

April 30,

2019

 

Notes Payable:

 

Nov.18, 2015. Interest at 8% and principal payable on demand. In Default

 

$

100,000

 

$

100,000

 

June. 6, 2016. Interest at 4% and principal payable on demand.

 

10,000

 

10,000

 

Aug. 4, 2016. Interest at 8% and principal payable on demand.

 

35,000

 

35,000

 

Sep. 27, 2016. Interest at 4% and principal payable on demand.

 

30,000

 

30,000

 

Sep. 29, 2016. Interest at 4% and principal payable on demand.

 

5,000

 

5,000

 

Sept. 29, 2016. Interest at 4% and principal payable on demand.

 

30,000

 

30,000

 

Oct. 3, 2016. Interest at 4% and principal payable on demand.

 

20,000

 

20,000

 

Total Notes Payable

 

$

230,000

 

$

230,000

 

Schedule of Related Party Notes Payable

 

 

July 31,

2019

 

April 30,

2019

 

Notes Payable, Related Party:

 

Aug. 28, 2015. No stated interest and principal payable on demand.

 

$

2,300

 

$

2,300

 

Schedule of convertible unsecured notes payable

 

 

July 31,

2019

 

April 30,

2019

 

Convertible Unsecured Notes Payable:

 

Apr. 14, 2016 - Interest at 5% - principal and interest due 12 months from issuance date. In Default

 

$

50,000

 

$

50,000

 

May 2, 2019 - Interest at 10% - principal and interest due May 2, 2020.

 

100,000

 

-

 

May 8, 2019 - Interest at 12% - principal and interest due February 8, 2020.

 

150,000

 

-

 

Plus: put premium

 

152,143

 

-

 

Less: debt discount

 

(126,442

)

 

-

 

Total Convertible Unsecured Notes Payable, net of debt discount

 

$

325,701

 

$

50,000

 

Schedule of convertible secured notes payable

 

 

July 31,

2019

 

April 30,

2019

 

Convertible Secured Note Payable:

 

Mar. 9, 2016 - Principal and interest at 10% due June 9, 2017. IN DEFAULT with interest recorded at default rate of 22%.

 

$

75,000

 

$

85,000

 

May 17, 2018 - Principal and interest at 8% due May 17, 2019. IN DEFAULT with interest recorded at default rate of 18%.

 

80,000

 

80,000

 

Less: debt discount

 

-

 

(10,083

)

 

Total Convertible Secured Notes Payable

 

$

155,000

 

$

154,917

 

Convertible Unsecured Promissory Note May 8, 2019 [Member]  
Summary of Payment Period

 

Date of Note Satisfaction

Payment Amount

 

0 to 90 days after the Issue Date

 

125% of principal amount plus accrued interest

91 to 180 days after the Issue Date

 

135% of principal amount plus accrued interest

 

Convertible Unsecured Promissory Note May 2, 2019 [Member]  
Summary of Payment Period

 

Date of Note Satisfaction

Payment Amount

 

0 to 60 days after the OID

 

112% of principal amount plus accrued interest

61 to 120 days after the OID

 

124% of principal amount plus accrued interest

121 to 180 days after the OID

 

136% of principal amount plus accrued interest