v3.26.1
Convertible Notes (Details Narrative) - USD ($)
1 Months Ended 3 Months Ended
Jan. 10, 2023
Dec. 15, 2022
Oct. 14, 2022
Apr. 05, 2022
Feb. 11, 2022
Jan. 05, 2022
Sep. 16, 2022
Jun. 24, 2022
May 05, 2022
Aug. 31, 2021
Mar. 31, 2026
Mar. 31, 2025
Dec. 31, 2025
Feb. 17, 2024
Dec. 31, 2022
Dec. 31, 2021
Nov. 02, 2021
Sep. 24, 2021
Principal amount, convertible note                     $ 2,525,500   $ 2,545,500          
Interest rate, percentage                           11.00%        
Interest expense                     574,102 $ 591,597            
Common stock, exercise price                                   $ 0.025
Series One [Member]                                    
Principal amount, convertible note                     1,050,000   1,050,000   $ 100,000 $ 950,000    
Series One One [Member] | Operating Interest One [Member]                                    
Interest expense                     42,166 42,166            
Series One One [Member] | Unsecured Notes Payable One [Member]                                    
Cash Proceeds from convertible notes payable                   $ 950,000                
Interest rate, percentage                   6.00%                
Series One One [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate                   12.00%                
Series One Two [Member] | Operating Interest One [Member]                                    
Interest expense                     4,439 4,439            
Series One Two [Member] | Unsecured Notes Payable One [Member]                                    
Cash Proceeds from convertible notes payable       $ 100,000                            
Interest rate, percentage       6.00%                            
Series One Two [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate       12.00%                            
Series Two One [Member] | Operating Interest Two [Member]                                    
Interest expense                     16,644 16,644            
Series Two One [Member] | Unsecured Notes Payable One [Member]                                    
Cash Proceeds from convertible notes payable           $ 250,000                        
Interest rate, percentage           12.00%                        
Debt instrument unpaid principal default interest rate           15.00%                        
Series Two Four [Member]                                    
Original issuance discount $ 10,000                                  
Series Two Four [Member] | Common Stocks [Member]                                    
Class of Warrant or Right, Number of Securities Called by Warrants or Rights 20,000,000                                  
Common stock, exercise price $ 0.020                                  
Series Two Four [Member] | Operating Interest Two [Member]                                    
Interest expense                     9,221 9,221            
Series Two Four [Member] | Unsecured Notes Payable One [Member]                                    
Principal amount, convertible note $ 110,000                                  
Cash Proceeds from convertible notes payable $ 100,000                                  
Interest rate, percentage 12.00%                                  
Fair value of warrants $ 87,675                                  
Series Two Four [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate 22.00%                                  
Series Two Five [Member] | Operating Interest Two [Member]                                    
Interest expense                     9,221 9,221            
Series Two Five [Member] | Unsecured Notes Payable One [Member]                                    
Cash Proceeds from convertible notes payable $ 110,000                                  
Interest rate, percentage 12.00%                                  
Series Two Five [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate 22.00%                                  
Series Three One [Member]                                    
Original issuance discount         $ 12,500                          
Series Three One [Member] | Common Stocks [Member]                                    
Class of Warrant or Right, Number of Securities Called by Warrants or Rights         1,250,000                          
Common stock, exercise price         $ 0.10                          
Series Three One [Member] | Operating Interest Three [Member]                                    
Interest expense                     7,639 7,639            
Series Three One [Member] | Unsecured Notes Payable One [Member]                                    
Principal amount, convertible note         $ 137,500                          
Cash Proceeds from convertible notes payable         $ 125,000                          
Interest rate, percentage         11.25%                          
Fair value of warrants         $ 22,568                          
Series Three One [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate         22.00%                          
Series Three Two [Member]                                    
Original issuance discount         $ 12,500                          
Series Three Two [Member] | Common Stocks [Member]                                    
Class of Warrant or Right, Number of Securities Called by Warrants or Rights         1,250,000                          
Common stock, exercise price         $ 0.10                          
Series Three Two [Member] | Operating Interest Three [Member]                                    
Interest expense                     11,274 11,274            
Series Three Two [Member] | Unsecured Notes Payable One [Member]                                    
Principal amount, convertible note         $ 137,500                          
Cash Proceeds from convertible notes payable         $ 125,000                          
Interest rate, percentage         11.00%                          
Fair value of warrants         $ 22,568                          
Series Three Two [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate         15.00%                          
Series Four One [Member]                                    
Original issuance discount                 $ 10,000                  
Series Four One [Member] | Common Stocks [Member]                                    
Class of Warrant or Right, Number of Securities Called by Warrants or Rights                 5,000,000                  
Common stock, exercise price                 $ 0.02                  
Series Four One [Member] | Operating Interest Four [Member]                                    
Interest expense                     9,221 9,221            
Series Four One [Member] | Unsecured Notes Payable One [Member]                                    
Principal amount, convertible note                 $ 110,000                  
Cash Proceeds from convertible notes payable                 $ 100,000                  
Interest rate, percentage                 12.00%                  
Fair value of warrants                 $ 54,495                  
Series Four One [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate                 22.00%                  
Series Four Two [Member]                                    
Original issuance discount               $ 10,000                    
Series Four Two [Member] | Common Stocks [Member]                                    
Class of Warrant or Right, Number of Securities Called by Warrants or Rights               5,000,000                    
Series Four Two [Member] | Operating Interest Four [Member]                                    
Interest expense                     9,221 9,221            
Series Four Two [Member] | Unsecured Notes Payable One [Member]                                    
Principal amount, convertible note               $ 110,000                    
Cash Proceeds from convertible notes payable               $ 100,000                    
Interest rate, percentage               12.00%                    
Fair value of warrants               $ 54,111                    
Series Four Two [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate               22.00%                    
Series Four [Member]                                    
Principal amount, convertible note                     220,000   $ 220,000          
Series Four [Member] | Common Stocks [Member]                                    
Common stock, exercise price               $ 0.02                    
Series Five One [Member] | Common Stocks [Member]                                    
Class of Warrant or Right, Number of Securities Called by Warrants or Rights                 3,750,000                  
Common stock, exercise price                 $ 0.02                  
Series Five One [Member] | Operating Interest Five [Member]                                    
Interest expense                     6,917 6,917            
Series Five One [Member] | Unsecured Notes Payable One [Member]                                    
Principal amount, convertible note                 $ 82,500                  
Cash Proceeds from convertible notes payable                 $ 75,000                  
Interest rate, percentage                 12.00%                  
Fair value of warrants                 $ 40,872                  
Original issuance discount                 $ 7,500                  
Series Five One [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate                 22.00%                  
Series Five Two [Member] | Common Stocks [Member]                                    
Class of Warrant or Right, Number of Securities Called by Warrants or Rights                 5,000,000                  
Common stock, exercise price                 $ 0.02                  
Series Five Two [Member] | Operating Interest Five [Member]                                    
Interest expense                     9,017 9,017            
Series Five Two [Member] | Unsecured Notes Payable One [Member]                                    
Principal amount, convertible note                 $ 110,000                  
Cash Proceeds from convertible notes payable                 $ 100,000                  
Interest rate, percentage                 11.00%                  
Fair value of warrants                 $ 54,495                  
Original issuance discount                 $ 10,000                  
Series Five Two [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate                 22.00%                  
Series Five Three [Member] | Common Stocks [Member]                                    
Class of Warrant or Right, Number of Securities Called by Warrants or Rights     5,000,000                              
Common stock, exercise price     $ 0.02                              
Series Five Three [Member] | Operating Interest Five [Member]                                    
Interest expense                     7,323 7,323            
Series Five Three [Member] | Unsecured Notes Payable One [Member]                                    
Principal amount, convertible note     $ 110,000                              
Cash Proceeds from convertible notes payable     $ 110,000                              
Interest rate, percentage     12.00%                              
Fair value of warrants     $ 51,262                              
Series Five Three [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate     22.00%                              
Series Five Four [Member] | Common Stocks [Member]                                    
Class of Warrant or Right, Number of Securities Called by Warrants or Rights   10,000,000                                
Common stock, exercise price   $ 0.02                                
Series Five Four [Member] | Operating Interest Five [Member]                                    
Interest expense                     18,444 18,444            
Series Five Four [Member] | Unsecured Notes Payable One [Member]                                    
Principal amount, convertible note   $ 220,000                                
Cash Proceeds from convertible notes payable   $ 200,000                                
Interest rate, percentage   12.00%                                
Fair value of warrants   $ 73,111                                
Original issuance discount   $ 20,000                                
Series Five Four [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate   22.00%                                
Series Six One [Member] | Operating Interest Six [Member]                                    
Interest expense                     $ 1,628 $ 1,628            
Series Six One [Member] | Unsecured Notes Payable One [Member]                                    
Principal amount, convertible note             $ 55,000                      
Cash Proceeds from convertible notes payable             $ 50,000                      
Interest rate, percentage             6.00%                      
Original issuance discount             $ 5,000                      
Series Six One [Member] | Unsecured Notes Payable One [Member] | Common Stocks [Member]                                    
Debt instrument unpaid principal default interest rate             12.00%                      
Private Placement [Member]                                    
Private Placement Price Per Share                                 $ 0.018