v3.26.1
Consolidated Statement of Changes in Stockholders' (Deficit) - USD ($)
Preferred Stock [Member]
Common Stock [Member]
Treasury Stock, Common [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
Total
Balance at Nov. 30, 2023 $ 100 $ 514,334 $ (435,000) $ 995,541 $ (2,113,921) $ (1,038,946)
Balance, shares at Nov. 30, 2023 100,000 514,333,691        
Shares issued for cash received $ 109,138 1,918,347 2,027,485
Shares issued for cash received, shares   109,137,500        
Shares issued for contract agreements $ 20,000 (18,000) 2,000
Shares issued for contract agreements, shares   20,000,000        
Shares cancelled $ (61,767) 55,617 (6,150)
Shares cancelled, shares   (61,766,666)        
Cash received for shares to be issued 370,400 370,400
Net loss (3,887,261) (3,887,261)
Balance at Nov. 30, 2024 $ 100 $ 581,705 (435,000) 3,321,905 (6,001,182) (2,532,472)
Balance, shares at Nov. 30, 2024 100,000 581,704,525        
Shares issued for cash received $ 102,578 662,004 764,582
Shares issued for cash received, shares   102,578,206        
Cash received for shares to be issued 5,000 5,000
Net loss (6,492,569) (6,492,569)
Shares issued services $ 28,362 1,179,127 1,207,490
Shares issued for services, shares   28,362,328        
Balance at Nov. 30, 2025 $ 100 $ 712,646 (435,000) 5,168,036 (12,493,751) (7,047,969)
Balance, shares at Nov. 30, 2025 100,000 712,645,059        
Shares issued for cash received $ 2,334 254,821 257,155
Shares issued for cash received, shares   2,333,855        
Shares issued for contract agreements, shares   2,333,855        
Cash received for shares to be issued 409,778 409,778
Net loss (1,124,355) (1,124,355)
Amortization of deferred stock based compensation 27,778 27,778
Shares issued for conversion of convertible note $ 1,042 47,199 48,241
Shares issued for cash received, shares   1,042,690        
Derivative valuation 57,259 57,259
Balance at Dec. 31, 2025 $ 100 $ 716,022 $ (435,000) $ 5,964,871 $ (13,168,106) $ (7,372,113)
Balance, shares at Dec. 31, 2025 100,000 716,021,604