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CONVERTIBLE NOTES PAYABLE (Details Narrative) - USD ($)
1 Months Ended 3 Months Ended 12 Months Ended
Mar. 15, 2024
Mar. 12, 2024
Jan. 04, 2024
Nov. 02, 2023
Sep. 12, 2023
May 15, 2023
May 03, 2023
Mar. 01, 2023
Dec. 04, 2019
Feb. 28, 2024
Jan. 30, 2024
Jan. 23, 2024
Nov. 30, 2023
Jun. 23, 2023
May 16, 2023
Sep. 16, 2021
Jul. 21, 2021
Jan. 17, 2020
Mar. 31, 2024
Mar. 31, 2023
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Jan. 17, 2019
Interest expense including discount amortization                                     $ 199,059 $ 37,230            
Convertible promissory note                                     0 10,000            
Accrued interest                                     194,258   $ 259,971          
Common stock value                                     10,645   $ 13,040          
Additional interest expense against issuing shares                                     43,070 37,230            
Debt discount                                     909 11,104            
Shares issued on commitments, amounts                                     $ 10,000              
Common stock, shares issued                                     106,447,550   130,397,550          
Convertible Promissory Note [Member]                                                    
Interest rate 12.00% 12.00% 10.00%         8.00%   12.00% 10.00%                              
Debt holder exercised the convertible option               $ 10,000                                    
Maturity date Mar. 15, 2025 Mar. 12, 2025 Jan. 04, 2025         Mar. 01, 2024   Feb. 28, 2025 Jan. 30, 2025                              
Outstanding balance of notes payable                                     $ 0              
Description of conversion of debt The note carries a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.25 per share of common stock The note carries a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.25 per share of common stock The note carried a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.25 per share of common stock         The note carries a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.50 per share of common stock. The debt holder exercised the convertible option on the $10,000 note and converted the entire amount into 20,000 shares of the Company’s common stock   The note carries a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.25 per share of common stock The note carried a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.25 per share of common stock                              
Convertible promissory note     $ 10,000         $ 10,000     $ 25,000                              
Common stock shares converted     40,000         20,000     100,000                              
Outstanding debt balance $ 10,000 $ 10,000               $ 50,000                 0              
Convertible Promissory Note One [Member]                                                    
Interest rate             10.00%                                      
Debt holder exercised the convertible option             $ 25,000                                      
Maturity date             May 03, 2024                                      
Description of conversion of debt             The note carries a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.25 per share of common stock                                      
Convertible promissory note             $ 25,000                                      
Common stock shares converted             100,000                                      
Outstanding debt balance                                     0   $ 0          
Convertible Promissory Note Two [Member]                                                    
Interest rate           10.00%                                        
Maturity date           May 15, 2024                                        
Description of conversion of debt           The note carries a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.25 per share of common stock                                        
Convertible promissory note           $ 50,000                                        
Outstanding debt balance                                     50,000   50,000          
Convertible Promissory Note Three [Member]                                                    
Interest rate                             10.00%                      
Maturity date                             May 16, 2024                      
Description of conversion of debt                             The note carries a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.25 per share of common stock                      
Convertible promissory note                             $ 50,000                      
Outstanding debt balance                                     $ 10,000   50,000          
Convertible Promissory Note Four [Member]                                                    
Interest rate                           10.00%                        
Maturity date                           Jun. 23, 2024                        
Description of conversion of debt                           The note carries a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.25 per share of common stock                        
Convertible promissory note                           $ 150,000                        
Outstanding debt balance                                         150,000          
Convertible Promissory Note Five [Member]                                                    
Interest rate         10.00%                                          
Maturity date         Sep. 11, 2024                                          
Description of conversion of debt         The note carried a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.25 per share of common stock                                          
Convertible promissory note         $ 10,000                                          
Common stock shares converted         40,000                                          
Outstanding debt balance                                         0          
Convertible Promissory Note Six [Member]                                                    
Interest rate       10.00%                                            
Maturity date       Jan. 02, 2024                             Dec. 31, 2024              
Description of conversion of debt       The note carries a prepayment feature or is convertible 14 days from the date of the note, at a fixed price of $0.25 per share of common stock                                            
Convertible promissory note       $ 25,000                                            
Convertible Promissory Note Seven [Member]                                                    
Maturity date                         Jan. 30, 2024                          
The Hillyer Group Inc [Member]                                                    
Interest rate                               12.00% 8.00% 8.00%                
Maturity date                               Sep. 16, 2022 Jul. 21, 2022 Jan. 17, 2021 Dec. 31, 2024              
Description of conversion of debt                               The note carries a prepayment feature or is convertible 180 days from the date of the note, at a fixed price of $.05 per share of common stock or if publicly traded at the rate of the lessor of $.05 or the lowest of 65% of the lowest closing bid price for 3 trading days previous to the conversion The note carries a prepayment feature or is convertible 180 days from the date of the note, at a fixed price of $.05 or if publicly traded at the rate of the lessor of $.05 or the lowest of 65% of the lowest closing bid price for 3 trading days previous to the conversion The note carries a prepayment feature or is convertible 180 days from the date of the note, at a fixed price of $.05 or if publicly traded at the rate of the lessor of $.05 or the lowest of 65% of the lowest closing bid price for 3 trading days previous to the conversion                
Convertible promissory note                                 $ 26,250 $ 157,500                
Original discount fees                                 $ 3,000 $ 7,500               $ 1,250
Additional interest expense against issuing shares                                         703          
Interest expense of OID                                         0 $ 1,503        
Default rate of interest                                 18.00%   18.00%              
Common stock, shares issued                                 60,000   50,000              
Balance of interest expense                                 $ 0                  
Balance of amortized debt discount                                             $ 0 $ 23,288    
David Stoccardo [Member]                                                    
Interest rate                 8.00%                                  
Maturity date                 Dec. 04, 2020                   Dec. 31, 2024              
Outstanding balance of notes payable                                     $ 189,000              
Description of conversion of debt                 The note carries a prepayment feature or is convertible 180 days from the date of the note, at a fixed price of $.05 or if publicly traded at the rate of the lessor of $.05 or the lowest of 65% of the lowest closing bid price for 3 trading days previous to the conversion                                  
Common shares issued, shares                                   400,000                
Common stock value                                                   $ 20,000
Original discount fees                 $ 9,000                                  
Balance of note payable                                         0          
Debt discount                                       $ 0            
Shares issued on commitments,shares                 500,000                                  
Shares issued on commitments, amounts                 $ 25,000                                  
Amortized of debt                                                 $ 1,712  
The Hillyer Group Inc One [Member]                                                    
Outstanding balance of notes payable                                     26,250              
Outstanding debt balance                       $ 371,500                            
Aggregate balance                       794,716                            
Outstanding advances debt balance                       205,000                            
Accrued interest                       $ 218,216                            
Common shares issued, shares                       50,000                            
Common stock value, debt discount                       $ 5,000                            
Interest expense of OID                                     0   0          
Amortized of debt                                     909              
The Hillyer Group Inc Two [Member]                                                    
Outstanding balance of notes payable                                     $ 20,000   $ 20,000