Schedule of Outstanding Debt Obligations (Details) - $ / shares |
9 Months Ended | 12 Months Ended | |
|---|---|---|---|
Mar. 31, 2026 |
Mar. 31, 2025 |
Jun. 30, 2025 |
|
| Short-Term Debt [Line Items] | |||
| Maturity Date | Sep. 04, 2027 | ||
| Default Interest Rate | 15.00% | ||
| Loan #1 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 22, 2022 | Sep. 22, 2022 | |
| Maturity Date | Feb. 06, 2024 | Feb. 06, 2024 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 4,915,411 | 4,915,411 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #2 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 22, 2022 | Sep. 22, 2022 | |
| Maturity Date | Feb. 06, 2024 | Feb. 06, 2024 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 20,083,468 | 20,083,468 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #3 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Feb. 28, 2023 | Feb. 28, 2023 | |
| Maturity Date | Feb. 28, 2024 | Feb. 28, 2024 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 5,221,742 | 5,221,742 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #4 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Mar. 24, 2023 | Mar. 24, 2023 | |
| Maturity Date | Mar. 24, 2024 | Mar. 24, 2024 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 5,221,742 | 5,221,742 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #5 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Apr. 17, 2023 | Apr. 17, 2023 | |
| Maturity Date | Apr. 17, 2024 | Apr. 17, 2024 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 5,221,742 | 5,221,742 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #6 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Jun. 01, 2023 | Jun. 01, 2023 | |
| Maturity Date | Jun. 01, 2024 | Jun. 01, 2024 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 6,488,992 | 6,488,992 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #7 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Oct. 05, 2023 | Oct. 05, 2023 | |
| Maturity Date | Oct. 05, 2024 | Oct. 05, 2024 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 2,011,585 | 2,011,585 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #8 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Nov. 17, 2023 | Nov. 17, 2023 | |
| Maturity Date | Nov. 17, 2024 | Nov. 17, 2024 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 2,011,585 | 2,011,585 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #9 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Dec. 06, 2023 | Dec. 06, 2023 | |
| Maturity Date | Dec. 06, 2024 | Dec. 06, 2024 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 5,534,715 | 5,534,715 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #10 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Jan. 24, 2024 | Jan. 24, 2024 | |
| Maturity Date | Jan. 24, 2025 | Jan. 24, 2025 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 12,598,399 | 12,598,399 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #11 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Mar. 13, 2024 | Mar. 13, 2024 | |
| Maturity Date | Mar. 13, 2025 | Mar. 13, 2025 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 10,901,508 | 10,901,508 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #12 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | May 05, 2024 | May 05, 2024 | |
| Maturity Date | May 05, 2025 | May 05, 2025 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 12,815,786 | 12,815,786 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #13 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 24, 2024 | Sep. 24, 2024 | |
| Maturity Date | Sep. 24, 2025 | Sep. 24, 2025 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 16,090,832 | 16,090,832 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #14 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Feb. 19, 2025 | Feb. 19, 2025 | |
| Maturity Date | Feb. 19, 2026 | Feb. 19, 2026 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 7,276,267 | 7,276,267 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #15 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Mar. 13, 2025 | Mar. 13, 2025 | |
| Maturity Date | Mar. 13, 2027 | Mar. 13, 2027 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | 16,374,577 | 16,374,577 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #16 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Jun. 29, 2023 | Jun. 29, 2023 | |
| Maturity Date | Nov. 01, 2025 | Nov. 01, 2025 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 16.00% | 16.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | |||
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #17 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Aug. 28, 2023 | Aug. 28, 2023 | |
| Maturity Date | Nov. 01, 2025 | Nov. 01, 2025 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 16.00% | 16.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | $ 0.0330 | $ 0.0330 | |
| Equivalent Shares | |||
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #18 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Jan. 23, 2025 | Jan. 23, 2025 | |
| Maturity Date | Aug. 31, 2025 | Aug. 31, 2025 | |
| Interest Rate | 17.50% | 17.50% | |
| Default Interest Rate | 4.50% | 4.50% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Notes Payable | Notes Payable | |
| Loan #19 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 04, 2024 | Sep. 04, 2024 | |
| Maturity Date | Sep. 04, 2027 | Sep. 04, 2027 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | $ 0.0202 | $ 0.0202 | |
| Equivalent Shares | 8,287,030 | 8,287,030 | |
| Debt Type | Convertible Notes Payable - Related Party | Convertible Notes Payable - Related Party | |
| Loan #20 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 04, 2024 | Sep. 04, 2024 | |
| Maturity Date | Sep. 04, 2027 | Sep. 04, 2027 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | $ 0.0202 | $ 0.0202 | |
| Equivalent Shares | 5,934,356 | 5,934,356 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #21 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 04, 2024 | Sep. 04, 2024 | |
| Maturity Date | Sep. 04, 2027 | Sep. 04, 2027 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | $ 0.0202 | $ 0.0202 | |
| Equivalent Shares | 7,226,337 | 7,226,337 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #22 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 04, 2024 | Sep. 04, 2024 | |
| Maturity Date | Sep. 04, 2027 | Sep. 04, 2027 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | $ 0.0202 | $ 0.0202 | |
| Equivalent Shares | 8,103,960 | 8,103,960 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #23 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 04, 2024 | Sep. 04, 2024 | |
| Maturity Date | Sep. 04, 2027 | Sep. 04, 2027 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | $ 0.0202 | $ 0.0202 | |
| Equivalent Shares | 1,834,901 | 1,834,901 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #24 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 04, 2024 | Sep. 04, 2024 | |
| Maturity Date | Sep. 04, 2027 | Sep. 04, 2027 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | $ 0.0202 | $ 0.0202 | |
| Equivalent Shares | 5,230,495 | 5,230,495 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #25 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 04, 2024 | Sep. 04, 2024 | |
| Maturity Date | Sep. 04, 2027 | Sep. 04, 2027 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | $ 0.0202 | $ 0.0202 | |
| Equivalent Shares | 4,762,574 | 4,762,574 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #26 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 10, 2021 | Sep. 10, 2021 | |
| Maturity Date | Sep. 10, 2026 | Sep. 10, 2026 | |
| Interest Rate | 8.99% | 8.99% | |
| Default Interest Rate | 20.00% | 20.00% | |
| Collateral | Vehicles | Vehicles | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Notes Payable - Vehicles | Notes Payable - Vehicles | |
| Loan #27 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 10, 2021 | Sep. 10, 2021 | |
| Maturity Date | Sep. 10, 2026 | Sep. 10, 2026 | |
| Interest Rate | 8.99% | 8.99% | |
| Default Interest Rate | 20.00% | 20.00% | |
| Collateral | Vehicles | Vehicles | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Notes Payable - Vehicles | Notes Payable - Vehicles | |
| Loan #28 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Sep. 04, 2024 | Sep. 04, 2024 | |
| Maturity Date | Sep. 04, 2027 | Sep. 04, 2027 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | $ 0.0202 | $ 0.0202 | |
| Equivalent Shares | 2,705,545 | 2,705,545 | |
| Debt Type | Convertible Notes Payable - Related Party | Convertible Notes Payable - Related Party | |
| Loan #29 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Jun. 15, 2018 | Jun. 15, 2018 | |
| Maturity Date | Jun. 21, 2024 | Jun. 21, 2024 | |
| Interest Rate | 18.00% | 18.00% | |
| Default Interest Rate | 18.00% | 18.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Notes Payable | Notes Payable | |
| Loan #30 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Apr. 18, 2025 | Apr. 18, 2025 | |
| Maturity Date | Apr. 18, 2026 | Apr. 18, 2026 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Notes Payable | Notes Payable | |
| Loan #31 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Jun. 15, 2025 | Jun. 15, 2025 | |
| Maturity Date | Jun. 15, 2026 | Jun. 15, 2026 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Notes Payable | Notes Payable | |
| Loan #32 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Jul. 14, 2025 | Jul. 14, 2025 | |
| Maturity Date | Jul. 14, 2026 | Jul. 14, 2026 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Notes Payable | Notes Payable | |
| Loan #33 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Aug. 25, 2025 | Aug. 25, 2025 | |
| Maturity Date | Aug. 25, 2026 | Aug. 25, 2026 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Notes Payable | Notes Payable | |
| Loan #34 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Jun. 06, 2022 | Jun. 06, 2022 | |
| Maturity Date | Jun. 06, 2029 | Jun. 06, 2029 | |
| Interest Rate | 5.00% | 5.00% | |
| Default Interest Rate | 0.00% | 0.00% | |
| Collateral | Building/Hotel | Building/Hotel | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Mortgage Notes Payable | Mortgage Notes Payable | |
| Loan #35 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Jun. 06, 2022 | Jun. 06, 2022 | |
| Maturity Date | Jun. 06, 2029 | Jun. 06, 2029 | |
| Interest Rate | 5.00% | 5.00% | |
| Default Interest Rate | 0.00% | 0.00% | |
| Collateral | Building/Hotel | Building/Hotel | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Mortgage Notes Payable | Mortgage Notes Payable | |
| Loan #36 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Nov. 15, 2023 | Nov. 15, 2023 | |
| Interest Rate | 1.00% | 1.00% | |
| Default Interest Rate | 1.00% | 1.00% | |
| Collateral | Building/Hotel | Building/Hotel | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Notes Payable | Notes Payable | |
| Maturity Date | Due on Demand | Due on Demand | |
| Loan #37 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Apr. 15, 2025 | Apr. 15, 2025 | |
| Maturity Date | Apr. 15, 2026 | Apr. 15, 2026 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Notes Payable | Notes Payable | |
| Loan #38 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | May 22, 2025 | May 22, 2025 | |
| Maturity Date | May 22, 2026 | May 22, 2026 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | |||
| Equivalent Shares | |||
| Debt Type | Notes Payable | Notes Payable | |
| Loan #39 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Oct. 08, 2025 | Oct. 08, 2025 | |
| Maturity Date | Oct. 08, 2026 | Oct. 08, 2026 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0249 | $ 0.0249 | |
| Equivalent Shares | 97,608,630 | 97,608,630 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #40 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Jan. 10, 2026 | Jan. 10, 2026 | |
| Maturity Date | Jan. 10, 2027 | Jan. 10, 2027 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0249 | $ 0.0249 | |
| Equivalent Shares | 48,662,610 | 48,662,610 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #41 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Mar. 19, 2026 | Mar. 19, 2026 | |
| Maturity Date | Mar. 19, 2027 | Mar. 19, 2027 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 24.00% | 24.00% | |
| Collateral | All Assets | All Assets | |
| Conversion Price | $ 0.0249 | $ 0.0249 | |
| Equivalent Shares | 47,461,406 | 47,461,406 | |
| Debt Type | Convertible Notes Payable | Convertible Notes Payable | |
| Loan #42 [Member] | |||
| Short-Term Debt [Line Items] | |||
| Issue Date | Mar. 31, 2026 | Mar. 31, 2026 | |
| Maturity Date | Mar. 31, 2029 | Mar. 31, 2029 | |
| Interest Rate | 15.00% | 15.00% | |
| Default Interest Rate | 15.00% | 15.00% | |
| Collateral | Unsecured | Unsecured | |
| Conversion Price | $ 0.0202 | $ 0.0202 | |
| Equivalent Shares | |||
| Debt Type | Convertible Notes Payable - Related Party | Convertible Notes Payable - Related Party | |
| Loan Share [Member] | |||
| Short-Term Debt [Line Items] | |||
| Equivalent Shares | 370,586,195 | 370,586,195 | |