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NOTES PAYABLE AND CONVERTIBLE NOTES PAYABLE (Tables)
3 Months Ended
Jul. 31, 2025
Debt Disclosure [Abstract]  
The following table reflects the convertible notes payable as of July 31, 2025 and April 30, 2025:

The following table reflects the convertible notes payable as of July 31, 2025 and April 30, 2025:

 

    Issue Date   Maturity
Date
  July 31, 2025
Principal
Balance
    April 30, 2025
Principal
Balance
    Rate   Conversion
Price
Convertible notes payable                                  
Face Value   05/19/2021   02/19/2023 *     180,000       180,000     10.00%   0.010
Face Value   12/06/2021   02/06/2023 *     -       60,060     15.00%   0.010
Face Value   08/01/2023   03/27/2024 *     50,000       50,000     10.00%   0.010
Face Value   06/16/2024   06/16/2025 *     210,000       150,000     10.00%   0.028
Face Value   07/03/2024   07/03/2025 *     105,000       75,000     10.00%   0.028
Face Value   08/12/2024   08/12/2025       30,000       30,000     6.00%   0.020
Face Value   10/17/2024   10/17/2025       75,000       75,000     10.00%   0.020
Face Value   12/16/2024   12/25/2025       10,000       10,000     10.00%   0.020
Face Value   12/18/2024   12/18/2025       15,000       15,000     10.00%   0.020
Face Value   12/18/2024   12/18/2025       5,000       5,000     10.00%   0.020
Face Value   12/20/2024   12/19/2025       250,000       250,000     10.00%   0.020
Face Value   01/16/2025   01/15/2026       5,000       5,000     10.00%   0.020
Face Value   01/30/2025   01/29/2026       5,000       5,000     10.00%   0.020
Face Value   03/19/2025   12/31/2025       75,000       75,000     10.00%   0.020
Face Value   03/19/2025   12/31/2025       75,000       75,000     10.00%   0.020
Face Value   04/18/2025   04/19/2026       5,000       5,000     10.00%   0.020
Face Value   04/30/2025   05/01/2026       5,000       5,000     10.00%   0.020
Face Value   05/02/2025   08/02/2025       27,500       -     10.00%   0.020
Face Value   05/02/2025   08/02/2025       27,500       -     10.00%   0.020
Face Value   05/19/2025   05/20/2026       5,000       -     10.00%   0.020
Face Value   06/23/2025   06/24/2026       50,000       -     10.00%   0.020
Face Value   07/02/2025   10/01/2025       55,000       -     10.00%   0.020
Face Value   07/18/2025   08/02/2025       27,500       -     10.00%   0.020
Face Value   07/21/2025   10/21/2025       13,750       -     10.00%   0.020
                                   
Unamortized discounts       (220,863 )     (263,273)          
Balance convertible notes payable     $ 1,085,387     $ 806,787          

 

*Notes that were in default as of July 31, 2025 due to non payment of principal and/or accrued interest.