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DEBT (Details 2) - USD ($)
Apr. 30, 2022
Apr. 30, 2021
Less: debt discount $ (473,618) $ 0
Convertible Unsecured Notes Payable [Member]    
April 14, 2016 - Interest at 5% - principal and interest due 12 months from issuance date. In Default 37,500 50,000
May 2, 2019 - Interest at 10% - principal and interest due May 2, 2020 6,000 12,170
May 8, 2019 - Interest at 12% - principal and interest due February 8, 2020 In Default with interest recorded at default rate of 24% 138,483 138,483
February 3, 2021, Interest at 10% - principal and interest due February 3, 2022 0 55,000
March 17, 2021, Interest at 10% - principal and interest due March 17, 2022 0 41,000
January 4, 2022, Interest at 8% - principal and interest due January 4, 2023 55,000 0
Plus: put premium 34,175 60,942
Less: debt discount (2,046) (6,000)
Total Convertible Unsecured Notes Payable, net of debt discount and put premium $ 269,112 $ 351,595