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Notes Payable (Tables)
6 Months Ended
Jun. 30, 2025
Notes Payable [Abstract]  
Schedule of Notes Payable

Notes payable consists of the following:

 

Description  Interest
Rate
   Maturity
date
  Principal   Accrued
Interest
   Unamortized
debt
discount
   June 30,
2025
Amount, net
   December  31,
2024
Amount, net
 
Cavalry Fund I LP   18.0%  Matured  $482,000   $145,270   $
-
   $627,270   $583,648 
Mercer Street Global Opportunity Fund, LLC   18.0%  Matured   482,000    145,269    
-
    627,269    583,648 
2024 notes     0.0 to 18.0%  February 28, 2025 to October 10, 2025   577,778    39,078    (12,512)   604,344    502,577 
                                  
Total notes payable          $1,541,778   $329,617   $(12,512)  $1,858,883   $1,669,873