v3.26.1
CONSOLIDATED STATEMENTS OF STOCKHOLDERS' DEFICIT (EQUITY) (Unaudited) - USD ($)
Preferred Stock [Member]
Common Stock [Member]
Common Stock to be Issued [Member]
Additional Paid-in Capital [Member]
Unearned Compensation [Member]
Retained Earnings [Member]
Total
Balance - April 30, 2025 at Apr. 30, 2024 $ 168,416 $ 118,500 $ 5,469,924 $ (4,987,569) $ 769,271
Beginning Balance, Shares at Apr. 30, 2024 51 168,400,311          
Sale of common stock $ 2,893 67,607 70,500
Sale of common stock, Shares   2,892,857          
Conversion of notes payable and accrued interest $ 8,429 227,571 236,000
Conversion of notes payable and accrued interest, Shares   8,428,574          
Common stock issued as commitment fees $ 1,346 17,970 19,316
Common stock issued as commitment fees, Shares   1,346,430          
Common stock issued as satisfaction for contingent liability $ 5,867 167,786 173,653
Common stock issued as satisfaction for contingent liability, Shares   5,866,667          
Warrants issued with sale of common stock 10,500 10,500
Warrants issued with convertible notes payable 100,978 100,978
Net loss (435,863) (435,863)
Balance - January 31, 2026 at Jul. 31, 2024 $ 186,951 118,500 6,062,336 (5,423,432) 944,355
Ending Balance, Shares at Jul. 31, 2024 51 186,934,839          
Balance - April 30, 2025 at Apr. 30, 2024 $ 168,416 118,500 5,469,924 (4,987,569) 769,271
Beginning Balance, Shares at Apr. 30, 2024 51 168,400,311          
Common stock issued as satisfaction for contingent liability             173,653
Warrants issued with sale of common stock             24,988
Warrants issued with convertible notes payable             289,615
Net loss             (1,528,996)
Warrants issued for services            
Balance - January 31, 2026 at Jan. 31, 2025 $ 231,253 143,500 6,722,431 (6,516,565) 580,619
Ending Balance, Shares at Jan. 31, 2025 51 231,251,936          
Balance - April 30, 2025 at Jul. 31, 2024 $ 186,951 118,500 6,062,336 (5,423,432) 944,355
Beginning Balance, Shares at Jul. 31, 2024 51 186,934,839          
Warrants issued with convertible notes payable 56,514 56,514
Net loss (453,921) (453,921)
Conversion of debt and interest to common stock $ 1,910 52,006 53,916
Conversion of debt and interest to common stock, Shares   1,926,143          
Common stock to be issued 25,000 25,000
Balance - January 31, 2026 at Oct. 31, 2024 $ 188,861 143,500 6,170,856 (5,877,353) 625,864
Ending Balance, Shares at Oct. 31, 2024 51 188,860,982          
Sale of common stock $ 267 3,733 4,000
Sale of common stock, Shares   266,667          
Common stock issued as commitment fees $ 29,750 83,339 113,089
Common stock issued as commitment fees, Shares   29,750,000          
Warrants issued with convertible notes payable 110,368 110,368
Net loss (639,212) (639,212)
Conversion of debt and interest to common stock $ 4,622 67,813 72,435
Conversion of debt and interest to common stock, Shares   4,621,750          
Stock issued for finance fees $ 4,903 243,147 248,050
Conversion of notes payable and accrued interest, Shares   4,902,537          
Shares earned for services $ 1,100 9,925 11,025
Conversion of notes payable and accrued interest, Shares   1,100,000          
Conversion of warrants $ 1,750 33,250 35,000
Conversion of notes payable and accrued interest, Shares   1,750,000          
Balance - January 31, 2026 at Jan. 31, 2025 $ 231,253 143,500 6,722,431 (6,516,565) 580,619
Ending Balance, Shares at Jan. 31, 2025 51 231,251,936          
Balance - April 30, 2025 at Apr. 30, 2025 $ 238,269 $ 120,432 6,942,106   (8,447,481) (1,146,674)
Beginning Balance, Shares at Apr. 30, 2025 51 238,251,927 1,187,500        
Sale of common stock $ 1,250 11,250   12,500
Sale of common stock, Shares   1,250,000          
Common stock issued as commitment fees $ 20,625 61,604   82,229
Common stock issued as commitment fees, Shares   20,625,000          
Warrants issued with convertible notes payable 64,962   64,962
Net loss   (584,252) (584,252)
Conversion of debt and interest to common stock $ 6,218 55,962   62,180
Conversion of debt and interest to common stock, Shares   6,218,041          
Issuance of issuable shares $ 500 $ (1,932) 1,432  
Issuance of issuable shares, Shares   500,000 (500,000)        
Warrants issued for services 17,857   17,857
Exercise of warrants $ 4,536 40,821   45,357
Exercise of warrants, Shares   4,535,714          
Deemed dividend from warrant price protection 117,629   (117,629)
Balance - January 31, 2026 at Jul. 31, 2025 $ 271,398 $ 118,500 7,313,623   (9,149,362) (1,445,841)
Ending Balance, Shares at Jul. 31, 2025 51 271,380,682 687,500        
Balance - April 30, 2025 at Apr. 30, 2025 $ 238,269 $ 120,432 6,942,106   (8,447,481) (1,146,674)
Beginning Balance, Shares at Apr. 30, 2025 51 238,251,927 1,187,500        
Common stock issued as satisfaction for contingent liability            
Warrants issued with sale of common stock            
Warrants issued with convertible notes payable             102,968
Net loss             (1,771,934)
Warrants issued for services             17,857
Balance - January 31, 2026 at Jan. 31, 2026 $ 375,201 $ 119,000 8,231,392   (10,337,044) (1,611,451)
Ending Balance, Shares at Jan. 31, 2026 51 375,182,322 1,187,500        
Balance - April 30, 2025 at Jul. 31, 2025 $ 271,398 $ 118,500 7,313,623   (9,149,362) (1,445,841)
Beginning Balance, Shares at Jul. 31, 2025 51 271,380,682 687,500        
Sale of common stock $ 128 1,150   1,278
Sale of common stock, Shares   127,778          
Common stock issued as commitment fees $ 5,000 4,126   9,126
Common stock issued as commitment fees, Shares   5,000,000          
Warrants issued with convertible notes payable 9,126   9,126
Net loss   (897,416) (897,416)
Conversion of debt and interest to common stock $ 6,875 61,875   68,750
Conversion of debt and interest to common stock, Shares   6,875,000          
Common stock issued for services $ 51,250 459,000   510,250
Common stock issued for services, Shares   51,250,000          
Balance - January 31, 2026 at Oct. 31, 2025 $ 334,651 $ 118,500 7,848,900   (10,046,778) (1,744,727)
Ending Balance, Shares at Oct. 31, 2025 51 334,633,460 687,500        
Sale of common stock $ 6,420 57,780   64,200
Sale of common stock, Shares   6,420,000          
Common stock issued as commitment fees $ 8,417 $ 500 19,966   28,883
Common stock issued as commitment fees, Shares   8,416,667 500,000        
Warrants issued with convertible notes payable 28,880   28,880
Net loss   (290,266) (290,266)
Conversion of debt and interest to common stock $ 22,613 233,766   256,379
Conversion of debt and interest to common stock, Shares   22,612,195          
Common stock issued for services $ 3,100 42,100   45,200
Common stock issued for services, Shares   3,100,000          
Balance - January 31, 2026 at Jan. 31, 2026 $ 375,201 $ 119,000 $ 8,231,392   $ (10,337,044) $ (1,611,451)
Ending Balance, Shares at Jan. 31, 2026 51 375,182,322 1,187,500