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SUMMARY OF OUTSTANDING CONVERTIBLE NOTES AND ACCRUED INTEREST (Details) - USD ($)
6 Months Ended
Feb. 06, 2024
Jun. 30, 2026
Jan. 12, 2026
May 21, 2024
Dec. 20, 2023
May 23, 2023
Mar. 17, 2023
Aug. 03, 2022
Convertible Notes Payable [Member]                
Short-Term Debt [Line Items]                
Principal Amount   $ 2,681,500            
Total Default Interest/Fees Incurred Since Issuance (Before Repayments and Conversions)   221,195            
Total Interest Accrued Since Issuance (Before Repayments and Conversions)   633,546            
Principal Repayments   481,668            
Default Interest Repayments   37,462            
Accrued Interest Repayments   20,000            
Total Repayments   539,130            
Principal Converted   368,500            
Default Interest and Fees converted   81,278            
Accrued Interest Converted   53,849            
Total Amount Converted   $ 503,627            
Conversion Price per share              
Total Number of Common Shares Issued   78,529,424            
Principal Outstanding   $ 1,831,332            
Default Interest (Default Principal) outstanding   102,454            
Accrued Interest Outstanding   559,697            
Total Balance Remaining   $ 2,493,483            
RB Capital Partners Inc [Member]                
Short-Term Debt [Line Items]                
Default Interest Rate         10.00%   7.00% 7.00%
Conversion Price per share         $ 1.00   $ 1.00 $ 1.00
Principal Outstanding         $ 100,000   $ 200,000 $ 1,100,000
RB Capital Partners Inc [Member] | Convertible Notes Payable [Member]                
Short-Term Debt [Line Items]                
Date of Issue   August 3, 2022            
Maturity Date   August 3, 2024            
Initial Interest Rate   7.00%            
Default Interest Rate              
Principal Amount   $ 1,100,000            
Total Default Interest/Fees Incurred Since Issuance (Before Repayments and Conversions)              
Total Interest Accrued Since Issuance (Before Repayments and Conversions)   301,249            
Principal Repayments              
Default Interest Repayments              
Accrued Interest Repayments              
Total Repayments              
Principal Converted              
Default Interest and Fees converted              
Accrued Interest Converted              
Total Amount Converted              
Conversion Price per share              
Total Number of Common Shares Issued              
Principal Outstanding   $ 1,100,000            
Default Interest (Default Principal) outstanding              
Accrued Interest Outstanding   301,249            
Total Balance Remaining   $ 1,401,249            
RB Capital Partners Inc One [Member] | Convertible Notes Payable [Member]                
Short-Term Debt [Line Items]                
Date of Issue   March 17, 2023            
Maturity Date   March 17, 2025            
Initial Interest Rate   7.00%            
Default Interest Rate              
Principal Amount   $ 200,000            
Total Default Interest/Fees Incurred Since Issuance (Before Repayments and Conversions)              
Total Interest Accrued Since Issuance (Before Repayments and Conversions)   43,895            
Principal Repayments   57,705            
Default Interest Repayments              
Accrued Interest Repayments              
Total Repayments   57,705            
Principal Converted              
Default Interest and Fees converted              
Accrued Interest Converted              
Total Amount Converted              
Conversion Price per share              
Total Number of Common Shares Issued              
Principal Outstanding   $ 142,295            
Default Interest (Default Principal) outstanding              
Accrued Interest Outstanding   43,895            
Total Balance Remaining   $ 186,190            
Jefferson Street Capital LLC [Member]                
Short-Term Debt [Line Items]                
Default Interest Rate       10.00%   6.50%    
Principal Amount     $ 37,269.38          
Conversion Price per share     $ 0.00 $ 0.03   $ 0.35    
Principal Outstanding     $ 40,269.38 $ 71,500   $ 220,000    
Jefferson Street Capital LLC [Member] | Convertible Notes Payable [Member]                
Short-Term Debt [Line Items]                
Date of Issue   May 23, 2023            
Maturity Date   February 23, 2024            
Initial Interest Rate   6.50%            
Default Interest Rate   15.00%            
Principal Amount   $ 220,000            
Total Default Interest/Fees Incurred Since Issuance (Before Repayments and Conversions)   138,963            
Total Interest Accrued Since Issuance (Before Repayments and Conversions)   34,416            
Principal Repayments              
Default Interest Repayments              
Accrued Interest Repayments              
Total Repayments              
Principal Converted   220,000            
Default Interest and Fees converted   36,509            
Accrued Interest Converted   16,486            
Total Amount Converted   $ 272,995            
Conversion Price per share              
Total Number of Common Shares Issued   13,524,647            
Principal Outstanding              
Default Interest (Default Principal) outstanding   102,454            
Accrued Interest Outstanding   17,930            
Total Balance Remaining   $ 120,384            
Sky Holdings [Member] | Convertible Notes Payable [Member]                
Short-Term Debt [Line Items]                
Date of Issue   June 16, 2023            
Maturity Date   December 16, 2023            
Initial Interest Rate   7.00%            
Default Interest Rate              
Principal Amount   $ 550,000            
Total Default Interest/Fees Incurred Since Issuance (Before Repayments and Conversions)              
Total Interest Accrued Since Issuance (Before Repayments and Conversions)   106,051            
Principal Repayments              
Default Interest Repayments              
Accrued Interest Repayments              
Total Repayments              
Principal Converted   77,000            
Default Interest and Fees converted              
Accrued Interest Converted   35,863            
Total Amount Converted   $ 112,863            
Conversion Price per share   $ 0.0375            
Total Number of Common Shares Issued   3,009,680            
Principal Outstanding   $ 473,000            
Default Interest (Default Principal) outstanding              
Accrued Interest Outstanding   70,188            
Total Balance Remaining   $ 543,188            
Lorlev 26 Irrevocable Trust [Member] | Convertible Notes Payable [Member]                
Short-Term Debt [Line Items]                
Date of Issue   December 20, 2023            
Maturity Date   December 20, 2024            
Initial Interest Rate              
Default Interest Rate              
Principal Amount   $ 100,000            
Total Default Interest/Fees Incurred Since Issuance (Before Repayments and Conversions)              
Total Interest Accrued Since Issuance (Before Repayments and Conversions)   29,000            
Principal Repayments   100,000            
Default Interest Repayments              
Accrued Interest Repayments   20,000            
Total Repayments   120,000            
Principal Converted              
Default Interest and Fees converted              
Accrued Interest Converted              
Total Amount Converted              
Conversion Price per share              
Total Number of Common Shares Issued              
Principal Outstanding              
Default Interest (Default Principal) outstanding              
Accrued Interest Outstanding   9,000            
Total Balance Remaining   $ 9,000            
Exchange Listing LLC [Member]                
Short-Term Debt [Line Items]                
Initial Interest Rate 10.00%              
Principal Outstanding $ 35,000              
Exchange Listing LLC [Member] | Convertible Notes Payable [Member]                
Short-Term Debt [Line Items]                
Date of Issue   February 6, 2024            
Maturity Date   August 6, 2024            
Initial Interest Rate   10.00%            
Default Interest Rate   20.00%            
Principal Amount   $ 35,000            
Total Default Interest/Fees Incurred Since Issuance (Before Repayments and Conversions)              
Total Interest Accrued Since Issuance (Before Repayments and Conversions)   15,712            
Principal Repayments              
Default Interest Repayments              
Accrued Interest Repayments              
Total Repayments              
Principal Converted              
Default Interest and Fees converted              
Accrued Interest Converted              
Total Amount Converted              
Conversion Price per share              
Total Number of Common Shares Issued              
Principal Outstanding   $ 35,000            
Default Interest (Default Principal) outstanding              
Accrued Interest Outstanding   15,712            
Total Balance Remaining   $ 50,712            
Jefferson Street Capital LLC One [Member] | Convertible Notes Payable [Member]                
Short-Term Debt [Line Items]                
Date of Issue   May 21, 2024            
Maturity Date   February 21, 2025            
Initial Interest Rate   10.00%            
Default Interest Rate   15.00%            
Principal Amount   $ 71,500            
Total Default Interest/Fees Incurred Since Issuance (Before Repayments and Conversions)   44,769            
Total Interest Accrued Since Issuance (Before Repayments and Conversions)   18,906            
Principal Repayments              
Default Interest Repayments              
Accrued Interest Repayments              
Total Repayments              
Principal Converted   71,500            
Default Interest and Fees converted   44,769            
Accrued Interest Converted   1,500            
Total Amount Converted   $ 117,769            
Conversion Price per share              
Total Number of Common Shares Issued   61,995,097            
Principal Outstanding              
Default Interest (Default Principal) outstanding              
Accrued Interest Outstanding   17,406            
Total Balance Remaining   $ 17,406            
J. J. Astor & Co [Member] | Convertible Notes Payable [Member]                
Short-Term Debt [Line Items]                
Date of Issue   September 20, 2024            
Maturity Date   June 30, 2025            
Initial Interest Rate   0.00%            
Default Interest Rate   16.00%            
Principal Amount   $ 405,000            
Total Default Interest/Fees Incurred Since Issuance (Before Repayments and Conversions)   37,462            
Total Interest Accrued Since Issuance (Before Repayments and Conversions)   84,317            
Principal Repayments   323,963            
Default Interest Repayments   37,462            
Accrued Interest Repayments              
Total Repayments   361,425            
Principal Converted              
Default Interest and Fees converted              
Accrued Interest Converted              
Total Amount Converted              
Conversion Price per share              
Total Number of Common Shares Issued              
Principal Outstanding   $ 81,037            
Default Interest (Default Principal) outstanding              
Accrued Interest Outstanding   84,317            
Total Balance Remaining   $ 165,354