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CONVERTIBLE NOTES PAYABLE (Tables)
6 Months Ended
Dec. 31, 2021
Debt Disclosure [Abstract]  
Schedule of convertible promissory notes
         
Note Holder Date Maturity Date Interest Rate Balance December 31, 2021
Power Up Lending Group Ltd (1) 10/1/2021 10/1/2022 10% $ 55,000
Fast Capital LLC (2) 10/26/2021 10/26/2022 10% $ 65,000
Sixth Street Lending LLC (3) 11/17/2021 11/17/2022 10% $ 55,000
      Total $ 175,000
      Less debt discount $ (142,905)
        $ 32,905
Schedule of derivative liability
       
Balance at June 30, 2021         
Increase to derivative due to new issuances     460,210  
Decrease to derivative due to conversion         
Derivative loss due to mark to market adjustment     131,053  
Balance at December 31, 2020   $ 329,157  
Schedule of fair value hierarchy
          
Inputs  December 31, 2021  Initial
Valuation
Stock price  $.068    $0.140.24 
Conversion price   $0.0305 - 0.052    $0.067 - 0.082 
Volatility (annual)   327.6% – 663.3%    696.71% - 735.86% 
Risk-free rate   0.18% - 0.29%    0.09% - 0.18% 
Dividend rate            
Years to maturity   .75.88    1