v3.26.1
NOTES PAYABLE (Details Narrative) - USD ($)
1 Months Ended 12 Months Ended
Sep. 03, 2024
May 09, 2024
Apr. 11, 2024
Apr. 05, 2024
Mar. 15, 2024
May 02, 2017
Sep. 02, 2016
Mar. 31, 2021
Nov. 19, 2019
Feb. 18, 2018
Feb. 15, 2018
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Jul. 03, 2025
Convertible notes payable                       $ 747,500 $ 760,000    
Issuance of common stock, value                       108,000 272,500    
Issuance of common stock     3,857,143 36,893,398 3,000,000                    
Proceeds from convertible notes payable                       0 385,000    
Interest expense including amortization of the associated debt discount                       140,243 141,559    
Proceeds from notes payable                       0 680,000    
Notes payable, net of debt discount                       765,000 995,000    
Common stock shares issued for the conversion, shares 156,667 7,002,740                          
Common stock shares issued for the conversion, amount $ 23,500 $ 350,000                          
Repayment of notes payable                       250,000 0    
Interest expense including financing cost and amortization                       $ 78,143 69,329    
Notes payable entered into April 26, 2021 [Member]                              
Interest rate                       12.00%      
Proceeds from notes payable                       $ 95,000      
Notes payable, net of debt discount                       $ 95,000 95,000    
Maturity date                       April 26, 2026      
Notes payable entered into August 18, 2021 [Member]                              
Interest rate                       12.00%      
Proceeds from notes payable                       $ 10,000      
Notes payable, net of debt discount                       $ 10,000 10,000    
Maturity date                       August 18, 2022      
Notes payable entered into July 24, 2024 [Member]                              
Interest rate                       18.00%      
Proceeds from notes payable                       $ 50,000      
Notes payable, net of debt discount                       $ 50,000 50,000    
Maturity date                       January 24, 2025      
Notes payable entered into August 5, 2024 [Member]                              
Interest rate                       24.00%      
Proceeds from notes payable                       $ 100,000      
Notes payable, net of debt discount                       $ 100,000 100,000    
Maturity date                       February 5, 2025      
Notes payable entered into January 25, 2024 [Member]                              
Interest rate                       18.00%      
Notes payable                       $ 0 125,000   $ 125,000
Proceeds from notes payable                       $ 125,000      
Maturity date                       January 25, 2025      
Notes payable entered into July 26, 2024 [Member]                              
Interest rate                       18.00%      
Proceeds from notes payable                       $ 100,000      
Notes payable, net of debt discount                       $ 100,000 100,000    
Maturity date                       January 25, 2025      
Notes payable entered into April 10, 2024 [Member]                              
Interest rate                       12.00%      
Proceeds from notes payable                       $ 75,000      
Notes payable, net of debt discount                       $ 0 75,000    
Maturity date                       January 10, 2025      
Notes payable entered into April 4, 2024 [Member]                              
Interest rate                       18.00%      
Proceeds from notes payable                       $ 100,000      
Notes payable, net of debt discount                       $ 100,000 100.000    
Maturity date                       April 4, 2025      
Notes payable entered into November 5, 2024 [Member]                              
Interest rate                       24.00%      
Proceeds from notes payable                       $ 100,000      
Notes payable, net of debt discount                       $ 100,000 100,000    
Maturity date                       May 5, 2025      
Notes payable entered into August 3, 2023 [Member]                              
Interest rate                       12.00%      
Notes payable                       $ 210,000 335,000 $ 625,000  
Common stock shares issued for the conversion, shares                       4,657,143      
Accrued interest note payable                       $ 24,353      
Common stock shares issued for the conversion, amount                         290,000    
Repayment of notes payable                       $ 125,000      
Maturity date                       August 3, 2024      
Convertible note issued July 3, 2024 [Member]                              
Balance debt amount                       $ 50,000      
Convertible notes payable                       $ 50,000 50,000    
Conversion price                       $ 0.15      
Maturity date                       July 3, 2026      
Debt interest rate                       12.00%      
Convertible note issued May 29, 2024 [Member]                              
Balance debt amount                       $ 100,000      
Convertible notes payable                       $ 100,000 100,000    
Conversion price                       $ 0.15      
Maturity date                       May 29, 2026      
Debt interest rate                       12.00%      
Convertible note issued May 14, 2024 [Member]                              
Balance debt amount                       $ 25,000      
Convertible notes payable                       $ 25,000 25,000    
Conversion price                       $ 0.15      
Maturity date                       May 14, 2025      
Debt interest rate                       12.00%      
Convertible note issued April 23, 2024 [Member]                              
Balance debt amount                       $ 150,000      
Convertible notes payable                       $ 150,000 150,000    
Conversion price                       $ 0.10      
Maturity date                       April 23, 2026      
Debt interest rate                       12.00%      
Convertible note entered into September 2, 2016 [Member]                              
Convertible notes payable                       $ 40,000 40,000    
Proceeds from convertible notes payable             $ 50,000                
Long term debt repayments of principal                         10,000    
Warrants Purchase             6,250                
Interest rate             12.00%                
Conversion price             $ 8.00                
Convertible note issued Nov 19, 2019 [Member]                              
Convertible notes payable                       108,500 108,500    
Granted shares issued value                 $ 175,070            
Discount price                 $ 18,500            
Lowest trading price percentage                 70.00%            
Proceeds from convertible notes payable                 $ 281,000            
Convertible promissory note                 $ 150,000            
Granted shares issued shares                 53,375            
Origional issue discount                 $ 28,100            
Market floor price per share amount                 $ 0.01            
Convertible promissory note percentage rate                 12.00%            
Convertible note issued May 2017 [Member]                              
Convertible notes payable                       $ 45,000 45,000    
Warrants to purchase shares of common stock           10,000                  
Proceeds from convertible notes payable           $ 50,000                  
Convertible conversion per shares                       $ 8.00      
Warrants Purchase           1,250                  
Interest rate           10.00%                  
Exercise price           $ 4                  
Maturity date                       May 2, 2020      
Convertible note issued Feb 15, 2018 [Member]                              
Convertible notes payable                       $ 75,000 75,000    
Issuance of common stock, value                     $ 8,995        
Issuance of common stock                     6,250        
Proceeds from note payable                       $ 75,000      
Maturity date                       February 24, 2020      
Debt interest rate                       12.00%      
Convertible note issued September 3, 2024 [Member]                              
Convertible notes payable                       $ 64,000 76,500    
Proceeds from convertible notes payable               $ 25,000   $ 75,000          
Monthly payments                       12,500 23,500    
Gain on the settlement                       $ 20,353      
Accrued interest note payable                         20,353    
Maturity date                       April 23, 2026      
Debt interest rate                       12.00%      
Convertible note issued December 1, 2024 [Member]                              
Convertible notes payable                       $ 60,000 60,000    
Proceeds from convertible notes payable                       $ 60,000      
Conversion price                       $ 0.15      
Maturity date                       December 1, 2025      
Debt interest rate                       0.00%      
Convertible notes payable, due July 18 2022 [Member]                              
Balance debt amount                       $ 150,000      
Advance recevied                         30,000 $ 4,000  
Convertible notes payable                       $ 30,000 $ 30,000    
Issuance shares of common stock shares                           2,254,986  
Issuance shares of common stock value                           $ 45,100  
Convertible conversion per shares                       $ 0.80      
Maturity date                       July 18, 2023      
Debt interest rate                       8.00%