v3.26.1
SCHEDULE OF OUTSTANDING DEBT INSTRUMENTS (Details) - USD ($)
Apr. 30, 2026
Oct. 31, 2025
Debt Disclosure [Abstract]    
2024 Senior secured convertible notes payable $ 125,000 $ 593,750
2025 Senior secured convertible notes payable 8,187,500
Discount 2025 Senior secured convertible notes payable (1,590,876)
Total Short-Term Debt 6,721,624 593,750
Unsecured 6% note payable – related party 767,288 767,288
Unsecured 4% note payable – related party 1,221,958 1,221,958
2022 Series convertible notes 200,000 200,000
2023 Series convertible notes – stock settled 405,000 405,000
Discount 2023 Series convertible notes (30,171) (37,834)
2023 Series B convertible notes – stock settled 1,312,600 1,312,600
Discount 2023 Series B convertible notes (590,079) (676,304)
2025 Senior secured convertible notes payable 8,187,500
Discount 2025 Senior secured convertible notes payable (2,388,419)
Total Long-Term Debt 3,286,596 8,991,789
Total Debt $ 10,008,220 $ 9,585,539