v3.25.2
CONVERTIBLE DEBT (Tables)
12 Months Ended
Dec. 31, 2024
Debt Instrument [Line Items]  
Schedule of convertible debt

Description

    

2024

    

2023

Amended 2022 Convertible Notes

$

$

1,369,734

2023 Convertible Notes

808,951

2024 Convertible Notes

2,547,209

Assumed 2024 Note

3,630,000

SEPA Convertible Note

2,365,114

Convertible notes payable

$

8,542,323

$

2,178,685

2024 Convertible Notes  
Debt Instrument [Line Items]  
Summary of the individual convertible notes

Issuance Date

Gross Proceeds

Conversion Price

Conversion Option Period of Exercisability
(from issuance date)

Maturity Date
(from issuance date)

9/12/2024

$

25,000

$

1.00

90-days

180-days

9/12/2024

100,000

$

1.00

90-days

180-days

9/18/2024

200,000

$

1.00

90-days

180-days

9/18/2024

100,000

$

1.00

90-days

180-days

9/20/2024

275,000

$

1.00

90-days

180-days

9/24/2024

40,000

$

1.00

90-days

180-days

10/7/2024

200,000

$

1.00

90-days

180-days

10/10/2024*

800,000

$

1.10

90-days

180-days

10/24/2024

100,000

$

1.00

90-days

180-days

11/26/2024

200,000

$

1.00

30-days

40-days

12/3/2024*

400,000

$

1.10

30-days

40-days

$

2,440,000

* These notes are with an investor who owns more than 5% of the Company’s stock