v3.25.2
PROMISSORY NOTES (Tables)
6 Months Ended
Jun. 30, 2025
Promissory Notes  
SCHEDULE OF PROMISSORY NOTES

Promissory notes consisted of the following at June 30, 2025, and December 31, 2024:

 

   June 30, 2025   December 31, 2024 
         
Cash Call note payable, due September 30, 2025  $24,785   $24,785 
Cash Call note payable, due September 30, 2025  $24,785   $24,785 
Elder note payable, 10% interest, due September 30, 2025   1,500    1,500 
Elder note Payable, 15% interest, due September 30, 2025   76,477    76,477 
Griffith note Payable, 15% interest, due September 30, 2025   250,000    250,000 
Banker note Payable, 15% interest, due September 30, 2025   42,500    42,500 
Robles note Payable, 10% interest, due September 30, 2025   37,500    37,500 
    -    - 
Total Promissory notes payable  $432,762   $432,762 
Less discounts   -    - 
           
Total Promissory notes, net of discount   432,762    432,762 
           
Less current portion   (432,762)   (432,762)
           
Total Promissory notes, net of discount - long term  $-   $-