v3.26.1
RELATED PARTY (Details Narrative) - USD ($)
3 Months Ended 12 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Dec. 31, 2025
Dec. 31, 2024
Dec. 28, 2025
Jun. 08, 2022
Feb. 10, 2021
Notes payable $ 640,000   $ 765,000        
Interest rate 18.00%            
Interest expense $ 161,040 $ 112,838          
Accounts payable 785,056   753,106        
Convertible note payable 747,500   747,500        
Sperry Advisory Services Llc [Member]              
Cash payment 0 33,887          
Common stock valued 70,000 37,400          
Accounts payable 133,614   100,613        
Recognized accounting fees 33,001 26,012          
Related party One [Member]              
Note payable due 59,450   59,450        
Letter of credit charge $ 425,000            
Interest rate 5.00%            
Related party [Member]              
Received note payable from director     31,000        
Notes payable     0        
Advances received from related party $ 0 0          
Payments made to related party 0 0          
Advances from related party 7,500   7,500        
Convertible Note [Member]              
Interest expense 25,890 $ 25,980          
Officer [Member]              
Note payable due $ 42,400   42,400        
Interest rate 12.00%            
Notation Labs, Inc [Member]              
Letter of credit charge $ 402,209            
Interest rate 8.00%            
Convertible note payable $ 2,500,000            
Convertible note payable due date December 31, 2024            
Net advances from the note $ 671,999   2,652,230 $ 868,300      
Outstanding amount notes payable 4,424,868   3,963,939        
Repayments of note advances 211,070   1,050,529 $ 721,284      
On March 26, 2024 [Member] | Convertible Promissory Note [Member]              
Issued of convertible promissory note $ 250,000            
Note payable due date March 25, 2025            
Conversion price per share $ 0.05            
Interest rate 12.00%            
Outstanding amount convertible promissory note $ 250,000   250,000        
Decemeber 28 2025 [Member] | Director [Member]              
Notes payable 827,209       $ 827,209    
Interest rate         12.00%    
Settled agreement amount 425,000   827,209        
Letter of credit charge 827,209            
Note balance was decreased 425,000            
Note balance was increased $ 402,209            
April 2021 [Member] | CEO [Member]              
Notes payable     150,000        
Interest rate 12.00%            
Outstanding amount notes payable $ 16,652   19,700        
Repayments of note advances 3,048   80,500        
Received advances from the company 0   0        
July 23, 2023 [Member]              
Notes payable $ 40,000            
Note payable due date July 25, 2024            
Interest rate 12.00%            
Outstanding amount notes payable $ 40,000   40,000        
On January 11, 2021 [Member] | CEO [Member]              
Notes payable $ 125,000            
Note payable due date June 8, 2021            
Interest rate 30.00%            
Interest on notes           $ 1,250 $ 3,125
Outstanding amount notes payable $ 125,000   125,000        
On December 16, 2024 [Member]              
Notes payable 1,500,000            
Principal portion $ 61,691   117,946        
Note payable due date December 16, 2025            
Interest rate 18.00%            
Outstanding amount notes payable $ 1,320,363   1,382,054        
On July 25, 2024 [Member] | Convertible Promissory Note [Member]              
Issued of convertible promissory note $ 500,000            
Note payable due date July 25, 2025            
Conversion price per share $ 0.15            
Interest rate 15.00%            
Outstanding amount convertible promissory note $ 500,000   $ 500,000