v3.26.1
Consolidated Statement of Cash Flows - USD ($)
3 Months Ended
Jun. 30, 2026
Jun. 30, 2025
OPERATING ACTIVITIES    
Net Loss $ (552,041) $ (487,589)
Amortization 5,244 6,518
Prepaid Expenses (4,500) 1,930
Accounts Payable 137,039 238,798
Net cash used in Operating Activities (414,258) (240,343)
INVESTING ACTIVITIES    
API Acquisition (58,600)
Net cash used in Investing Activities (58,600)
FINANCING ACTIVITIES    
Additional Paid in Capital 143,925 59,852
Capital Stock 705 148
Convertible Notes Payable 224,589 (100,464)
Due from Subsidiaries (100,757)
Loan from Related Parties 58,552 119,816
Loan Payable 206,285 90,000
Net cash provided by Financing Activities 533,299 169,352
Net cash increase (decrease) for period 60,441 (70,991)
Cash at beginning of period 23,145 81,053
Cash at end of period $ 83,586 $ 10,062