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Convertible Notes Payable (Details) - Schedule of Convertible Notes Payable - USD ($)
6 Months Ended
Jun. 30, 2024
Dec. 31, 2023
Schedule of Convertible Notes Payable [Line Items]    
Amount, net $ 4,764,895 $ 3,704,280
Cavalry Fund I LP [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate 10.00%  
Maturity date April 30, 2024  
Principal $ 898,980  
Accrued Interest 55,687  
Unamortized debt discount  
Amount, net $ 954,667 909,218
Mercer Street Global Opportunity Fund, LLC [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate 10.00%  
Maturity date April 30, 2024  
Principal $ 991,754  
Accrued Interest 198,149  
Unamortized debt discount  
Amount, net $ 1,189,903 1,139,764
Red Road Holdings Corporation [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate [1] 29.32%  
Maturity date [1] June 15, 2024  
Principal [1]  
Accrued Interest [1]  
Unamortized debt discount [1]  
Amount, net [1] 41,771
Red Road Holdings Corporation [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate [1] 27.77%  
Maturity date [1] July 30, 2024  
Principal [1] $ 18,050  
Accrued Interest [1] 363  
Unamortized debt discount [1] (1,900)  
Amount, net [1] $ 16,513 18,683
Red Road Holdings Corporation [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate [1] 32.04%  
Maturity date [1] September 30, 2024  
Principal [1] $ 30,348  
Accrued Interest [1] 745  
Unamortized debt discount [1] (9,796)  
Amount, net [1] $ 21,297 3,109
Red Road Holdings Corporation [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate [1] 24.98%  
Maturity date [1] December 30, 2024  
Principal [1] $ 88,500  
Accrued Interest [1] 5,604  
Unamortized debt discount [1] (59,542)  
Amount, net [1] $ 34,562
Red Road Holdings Corporation [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate [1] 24.51%  
Maturity date [1] March 30, 2025  
Principal [1] $ 125,080  
Accrued Interest [1] 503  
Unamortized debt discount [1] (122,830)  
Amount, net [1] $ 2,753
Quick Capital, LLC [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate [1] 11.12%  
Maturity date [1] September 30, 2024  
Principal [1] $ 59,410  
Accrued Interest [1] 1,511  
Unamortized debt discount [1] (6,640)  
Amount, net [1] $ 54,281
Quick Capital, LLC [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate [1] 11.03%  
Maturity date [1] November 28, 2024  
Principal [1] $ 57,144  
Accrued Interest [1] 1,417  
Unamortized debt discount [1] (21,011)  
Amount, net [1] $ 37,550
2023 and 2024 Convertible Notes [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Maturity date May 22, 2024 to February 21, 2025  
Principal $ 2,435,001  
Accrued Interest 178,752  
Unamortized debt discount (160,384)  
Amount, net 2,453,369 1,591,735
Total Convertible Notes Payable [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Principal 4,704,267  
Accrued Interest 442,731  
Unamortized debt discount (382,103)  
Amount, net $ 4,764,895 $ 3,704,280
Minimum [Member] | 2023 and 2024 Convertible Notes [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate 8.00%  
Maximum [Member] | 2023 and 2024 Convertible Notes [Member]    
Schedule of Convertible Notes Payable [Line Items]    
Interest Rate 12.00%  
[1] The Red Road Holdings Corporation and Quick Capital LLC, interest rates are an effective interest rate as these convertible notes have a fixed interest charge which is earned on the issuance date, regardless of when payments are made.