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Convertible Notes Payable (Details) - Schedule of Convertible Notes Payable - USD ($)
9 Months Ended
Sep. 30, 2023
Dec. 31, 2022
Schedule of Convertible Notes Payable [Line Items]    
Principal $ 3,969,931  
Accrued Interest 230,920  
Unamortized debt discount (744,914) $ 0
Total convertible notes payable $ 3,455,937 2,266,602
Cavalry Fund I LP [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate 10.00%  
Maturity date December 30, 2023  
Principal $ 1,091,754  
Accrued Interest 64,339  
Unamortized debt discount  
Total convertible notes payable $ 1,156,093 1,133,301
Mercer Street Global Opportunity Fund, LLC [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate 10.00%  
Maturity date December 30, 2023  
Principal $ 991,754  
Accrued Interest 122,665  
Unamortized debt discount  
Total convertible notes payable $ 1,114,419 1,133,301
Quick Capital, LLC [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate 8.00%  
Maturity date December 20, 2023  
Principal $ 62,857  
Accrued Interest 1,405  
Unamortized debt discount (27,393)  
Total convertible notes payable $ 36,869
Red Road Holdings Corporation [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate 17.13%  
Maturity date June 15, 2024  
Principal $ 146,900  
Accrued Interest 1,241  
Unamortized debt discount (137,354)  
Total convertible notes payable $ 10,787
2023 convertible notes [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Maturity date December 31, 2023 to September 14, 2024  
Principal $ 1,676,666  
Accrued Interest 41,270  
Unamortized debt discount (580,167)  
Total convertible notes payable $ 1,137,769
2023 convertible notes [Member] | Minimum [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate 8.00%  
2023 convertible notes [Member] | Maximum [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate 12.00%