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Loss on Settlement and Repricing of Convertible Notes (Tables)
6 Months Ended
Jun. 30, 2025
Loss on Settlement and Repricing of Convertible Notes [Abstract]  
Schedule of the Loss on Settlement and Repricing of Convertible Notes

The loss on settlement and repricing of convertible notes consists of the following:

 

   Three months
ended
   Three months
ended
   Six months
ended
   Six months
ended
 
   June 30,   June 30,   June 30,   June 30, 
   2025   2024   2025   2024 
Expense on extension of maturity date of convertible notes  $
-
   $36,305   $
-
   $102,352 
Penalty on convertible debt   22,500    
-
    61,729    
-
 
Loss on conversion of convertible debt   592,583    
-
    699,087    
-
 
Loss on anti-dilution price protection adjustment   14,584,238    
-
    16,925,718    
-
 
   $15,199,321   $36,305   $17,686,534   $102,352