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CONVERTIBLE NOTES PAYABLE (Tables)
6 Months Ended
Jun. 30, 2025
Debt Disclosure [Abstract]  
Schedule of convertible notes
          
   June 30, 2025   December 31, 2024 
Convertible notes payable  $105,000   $105,000 
Discounts on convertible notes payable        
Total convertible debt less debt discount   105,000    105,000 
Current portion   105,000    105,000 
Long-term portion  $   $ 
Schedule of convertible notes payable
                                              
Note #  Issuance  Maturity  Principal Balance 12/31/24   Settlements and/or Principal Conversions   New Loans or (Cash Paydown)   Shares Issued Upon Conversion or Exchange   Principal Balance 6/30/25   Accrued Interest on Convertible Debt at 12/31/24   Interest On Convertible Debt For the Period Ended 6/30/25   Accrued Interest on Convertible Debt at 6/30/25 
10  01/24/2017  01/24/2018   55,000                55,000    91,905    5,456    97,361 
10-2  03/30/2023  03/30/2024   25,000                25,000    7,538    2,479    10,017 
10-3  08/11/2023  08/11/2024   25,000                25,000    5,859    2,480    8,339 
         $105,000   $   $       $105,000   $105,302   $10,415   $115,717