XML 90 R72.htm IDEA: XBRL DOCUMENT v3.23.4
Derivative Liabilities (Details) - Schedule of Convertible Notes – Related Parties
12 Months Ended
Dec. 31, 2022
USD ($)
Promissory Notes [Member]  
Derivative Liabilities (Details) - Schedule of Convertible Notes – Related Parties [Line Items]  
Maturity date of promissory notes 1 year
Interest rate 10.00%
Default interest rate 15.00%
Collateral Unsecured
Conversion Rate 2
Balance - December 31, 2021
Face amount of notes 888,889
Less: unamortized debt discount (407,555)
Add: accrued interest on promissory notes 54,567
Balance - December 31, 2022 $ 535,901
Convertible Notes [Member]  
Derivative Liabilities (Details) - Schedule of Convertible Notes – Related Parties [Line Items]  
Maturity date of promissory notes 1 year
Interest rate 6.00%
Default interest rate 15.00%
Collateral Unsecured
Conversion Rate 2
Balance - December 31, 2021
Face amount of notes 338,889
Less: unamortized debt discount (155,443)
Add: accrued interest on promissory notes 11,651
Balance - December 31, 2022 $ 195,097