v3.26.1
SCHEDULE OF SEGMENT INFORMATION (Details) - USD ($)
3 Months Ended
Jul. 15, 2025
Mar. 31, 2026
Mar. 31, 2025
Dec. 31, 2025
Product Information [Line Items]        
Recyclable material intake   $ 83,333 $ 41,667  
Cost of sales   30,000  
Change in derivative liability   1,566,067  
Net Income (loss) before income taxes   (2,437,157) (23,068)  
Stock based compensation (related and non-related party)   11,708 24,378  
Rent $ 404,500      
Total assets   998,123   $ 1,025,791
Current liabilities   6,985,396   4,767,965
Non-current liabilities   154,291   170,878
Consulting Services [Member]        
Product Information [Line Items]        
Recyclable material intake   83,333 41,667  
Reportable Subsegments [Member]        
Product Information [Line Items]        
Recyclable material intake      
Cost of sales   30,000    
Revenue and other income   53,333 41,667  
Advertising & Marketing   35,474 3,264  
Consulting fees   151,134  
Professional fees   23,014 3,539  
Other general and administrative expenses   156,217 15,505  
Change in derivative liability   1,650,733  
Interest expense and charges - note payable   473,918 17,877  
Net Income (loss) before income taxes   (2,437,157) (23,068)  
Note interest revenue      
Gain on extinguishment of debt      
Investment write off      
Other income      
Licenses     172  
Stock based compensation (related and non-related party)     24,378  
Rent      
Interest write off      
Total assets   998,123   1,025,791
Net assets   998,123   1,025,791
Current liabilities   6,831,105   4,597,087
Non-current liabilities   154,291   170,878
Net liabilities   6,985,396   4,767,965
Reportable Subsegments [Member] | Consulting Services [Member]        
Product Information [Line Items]        
Recyclable material intake   83,333 41,667  
Reportable Subsegments [Member] | Holding Segment [Member]        
Product Information [Line Items]        
Recyclable material intake      
Cost of sales      
Revenue and other income    
Advertising & Marketing   35,474 3,264  
Consulting fees   151,134  
Professional fees   23,014 3,539  
Other general and administrative expenses   156,217 15,505  
Change in derivative liability   1,650,733  
Interest expense and charges - note payable   473,918 17,877  
Net Income (loss) before income taxes   (2,490,490) (64,735)  
Note interest revenue      
Gain on extinguishment of debt      
Investment write off      
Other income      
Licenses     172  
Stock based compensation (related and non-related party)     24,378  
Rent      
Interest write off      
Total assets   67,408   68,244
Net assets   67,408   68,244
Current liabilities   6,613,905   4,301,054
Non-current liabilities    
Net liabilities   6,613,905   4,301,054
Reportable Subsegments [Member] | Holding Segment [Member] | Consulting Services [Member]        
Product Information [Line Items]        
Recyclable material intake    
Reportable Subsegments [Member] | Waste Conversion Segment [Member]        
Product Information [Line Items]        
Recyclable material intake      
Cost of sales   30,000    
Revenue and other income   53,333 41,667  
Advertising & Marketing    
Consulting fees    
Professional fees    
Other general and administrative expenses    
Change in derivative liability    
Interest expense and charges - note payable    
Net Income (loss) before income taxes   53,333 41,667  
Note interest revenue      
Gain on extinguishment of debt      
Investment write off      
Other income      
Licenses      
Stock based compensation (related and non-related party)      
Rent      
Interest write off      
Reportable Subsegments [Member] | Waste Conversion Segment [Member] | Consulting Services [Member]        
Product Information [Line Items]        
Recyclable material intake   83,333 $ 41,667  
Reportable Subsegments [Member] | Renewable Energy Consulting Segment [Member]        
Product Information [Line Items]        
Total assets    
Net assets    
Current liabilities    
Non-current liabilities    
Net liabilities    
Reportable Subsegments [Member] | Recyclable Material Intake Segment [Member]        
Product Information [Line Items]        
Total assets   930,715   957,547
Net assets   930,715   957,547
Current liabilities   217,200   296,033
Non-current liabilities   154,291   170,878
Net liabilities   $ 371,491   $ 466,911