Quarterly report [Sections 13 or 15(d)]

NOTES PAYABLE (Details Narrative)

v3.25.1
NOTES PAYABLE (Details Narrative) - USD ($)
1 Months Ended 3 Months Ended
Mar. 04, 2025
Oct. 14, 2024
Jul. 11, 2024
Mar. 14, 2024
Dec. 08, 2023
Nov. 10, 2023
Sep. 06, 2023
Oct. 06, 2022
Sep. 09, 2021
Dec. 31, 2024
Nov. 29, 2024
Aug. 23, 2024
Mar. 25, 2024
Jan. 25, 2023
Mar. 31, 2025
Mar. 31, 2024
Feb. 28, 2025
Dec. 31, 2023
Advances from a third party                   $ 21,480         $ 21,480      
Interest payable on note payable                   1,328,653         1,349,859      
Conversion price   $ 0.40                                
Interest expense                             87,483 $ 181,820    
Exercise price $ 1.00                                  
Interest payment                             722 8,547    
Notes payable, net of debt discounts                   $ 1,343,278         $ 1,490,190      
Common stock issued 500,000                                  
Common stock price per share $ 0.31 $ 0.75               $ 0.001         $ 0.001      
Common stock value                   $ 13,299         $ 16,898      
Debt discount interest expense                             115,334 118,554    
Debt discount interest expense                             19,983 50,116    
September 9, 2021 [Member] | Third Party [Member]                                    
Interest rate during period                 25.00%                  
Unsecured promissory note payable                 $ 200,000                  
Promissory Notes payable                   200,000         200,000      
Interest expense                             12,329 12,466    
October 6, 2022 [Member] | Third Party [Member]                                    
Interest rate during period               12.50%                    
Interest rate increased               25.00%                    
Promissory Notes payable                   100,000         100,000      
Promissory note issued               $ 100,000                    
Interest expense                             6,164 6,233    
Interest payment               $ 3,125             0 6,250    
Common stock issued               16,500                    
Common stock value               $ 31,350                    
January 25, 2023 [Member] | Third Party [Member]                                    
Interest rate during period                           12.50%        
Interest rate increased                           20.00%        
Promissory note issued                           $ 50,000        
Debt instrument lum sum payment                           61,250        
Restricted stock value                           $ 3,875        
Restricted stock shares issued                           12,500        
Exercise price                           $ 0.31        
Outstanding balance                   61,250         61,250      
Interest expense                             0 2,236    
Interest payment                           $ 1,563 0 1,563    
Common stock issued                           4,285        
Common stock issued, value                           $ 6,000        
Debt discount interest expense                             3,483 0    
September 6, 2023 [Member] | Third Party [Member]                                    
Interest rate during period             8.00%                      
Interest rate increased             15.00%                      
Promissory Notes payable                   177,000         $ 177,000      
Interest rate                             10.00%      
Promissory note issued             $ 150,000                      
Debt instrument lum sum payment             $ 177,000                      
Restricted stock price per share             $ 0.30                      
Restricted stock value             $ 11,250                      
Restricted stock shares issued             37,500                      
Debt extinguishment loss                             $ 22,514      
Share-Based Payment Arrangement, Plan Modification, Incremental Cost                             $ 27,825      
Share-Based Payment Arrangement, Plan Modification, Incremental Cost, shares                             79,500      
Interest expense                             $ 0 2,992    
Exercise price             $ 2.00                      
Debt Instrument, Per Share                             $ 0.35      
Warrant issued             150,000                      
Notes payable, net of debt discounts             $ 88,820                      
Common stock issued             18,000                      
Common stock value             $ 30,240                      
Debt discount interest expense                             $ 8,732 29,684    
November 10, 2023 [Member] | Third Party [Member]                                    
Interest rate during period           8.00%                        
Promissory Notes payable           $ 220,000       $ 275,000                
Interest rate                             5.00%      
Promissory note issued                             $ 200,000      
Debt instrument maturity end date   Dec. 31, 2024 Sep. 30, 2024             Feb. 28, 2025                
Debt instrument maturity start date   Sep. 30, 2024 Aug. 10, 2024             Dec. 31, 2024                
Debt instrument lum sum payment     $ 275,000                              
Restricted stock price per share   $ 0.33 $ 0.52     $ 1.00       $ 0.38                
Restricted stock value   $ 24,750 $ 26,000     $ 15,000       $ 9,500                
Restricted stock shares issued   75,000 50,000     15,000       25,000                
Debt extinguishment loss   $ 2,319 $ 61,638               $ 2,319       79,394      
Exercise price   $ 0.60 $ 1.00                              
Convertible conversion price increase   1.50 2.00                              
Conversion price   0.40 0.75                              
Outstanding balance                   $ 275,000         330,000      
Convertible conversion price decrease   $ 1.00 1.50                              
Interest expense                             1,356 4,388    
fair value of debt                             213,362      
Exercise price           $ 2.00                        
Warrant issued           200,000                        
Notes payable, net of debt discounts           $ 140,355                        
Derivative liability and debt discount           $ 26,730                        
Common stock issued           24,000                        
Common stock issued, value           $ 36,480                        
Debt discount interest expense                             19,406 57,717    
December 8, 2023 [Member] | Third Party [Member]                                    
Interest rate during period         8.00%                          
Promissory Notes payable         $ 220,000         275,000               $ 220,000
Debt instrument maturity end date                     Jan. 31, 2025 Oct. 31, 2024            
Debt instrument maturity start date                     Oct. 31, 2024 Sep. 08, 2024            
Debt instrument lum sum payment                       $ 275,000            
Restricted stock price per share                     $ 0.30 $ 0.30            
Restricted stock value                     $ 22,500 $ 15,000            
Restricted stock shares issued                     75,000 50,000            
Debt extinguishment loss                     $ 129 $ 40,394            
Exercise price                     $ 0.40 $ 1.00            
Convertible conversion price increase                     1.50 2.00            
Share-Based Payment Arrangement, Plan Modification, Incremental Cost                             25,000      
Conversion price                       0.75            
Convertible conversion price decrease                     $ 1.00 1.50            
Interest expense                             0 4,388    
Exercise price         $ 2.00                          
Warrant issued         200,000                          
Notes payable, net of debt discounts         $ 123,270                          
Derivative liability and debt discount         $ 26,730                          
Common stock issued         24,000               15,000          
Common stock price per share                         $ 0.89          
Common stock value         $ 27,120               $ 13,350          
Debt discount interest expense                             $ 8,975 8,787    
March 14 2024 [Member] | Third Party [Member]                                    
Interest rate during period       8.00%                            
Promissory Notes payable       $ 220,000           $ 275,000                
Promissory note issued       $ 200,000                            
Debt instrument lum sum payment   $ 275,000                                
Restricted stock price per share     $ 0.52             $ 0.38   $ 0.33            
Restricted stock value     $ 26,000             $ 9,500   $ 24,750            
Restricted stock shares issued     50,000             25,000   75,000            
Debt extinguishment loss     $ 83,964                 $ 43,328            
Exercise price     $ 1.00                 $ 0.60            
Convertible conversion price increase     2.00                 1.50            
Conversion price     0.75                       $ 0.33   $ 0.33  
Outstanding balance                   $ 275,000         $ 330,000   $ 330,000  
Fair value of new debt                                 $ 221,198  
Convertible conversion price decrease     $ 1.50                 $ 1.00            
Interest expense                             1,356 820    
Exercise price       $ 2.00                            
Warrant issued       200,000                            
Notes payable, net of debt discounts       $ 115,419                            
Derivative liability and debt discount       $ 26,730                            
Common stock issued       24,000                            
Common stock value       $ 22,080                            
Debt discount interest expense                             $ 9,500 $ 8,787