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CONVERTIBLE NOTES PAYABLE (Tables)
9 Months Ended
Sep. 30, 2023
Convertible Notes Payable  
SCHEDULE OF CONVERTIBLE NOTE PAYABLE

Principal due under the convertible note payable was as follows at September 30, 2023 and December 31, 2022:

 

  

September 30,

2023

  

December 31,

2022

 
         
Current:          
Note payable, 0%   7,555,000    - 
Less: debt discount   (2,194,744)   - 
Convertible notes payable, net, current  $5,360,256   $- 
           
Long-Term:          
Note payable, 0%   -    9,743,333 
Less: debt discount   -   (1,831,828)
Convertible notes payable, net  $-   $7,911,505 
SCHEDULE OF FAIR VALUE OF OPTION WITH ASSUMPTIONS

 

  

Dividend

Yield

   Expected Volatility  

Risk-free Interest

Rate

  

Expected

Life

Hudson Bay Warrant; March 2023   0.00%   143.23%   3.88%  2.5 years
Palladium Capital Warrant; March 2023   0.00%   143.23%   3.88%  2.5 years
 

  

Dividend

Yield

   Expected Volatility  

Risk-free Interest

Rate

  

Expected

Life

Hudson Bay Warrant; March 2023   0.00%   143.81%   3.67%  2.5 years
Palladium Capital Warrant; March 2023   0.00%   143.81%   3.67%  2.5 years
  
  

Dividend

Yield

   Expected Volatility  

Risk-free Interest

Rate

  

Expected

Life

Hudson Bay Warrant; as adjusted January 2023   0.00%   142.28%   4.10%  2.5 years
Palladium Capital Warrant; as adjusted January 2023   0.00%   142.28%   4.10%  2.5 years
BHP Warrant; as adjusted January 2023   0.00%   142.28%   4.10%  2.5 years