v3.26.1
DEBT (Details Narrative) - USD ($)
1 Months Ended 3 Months Ended 6 Months Ended
Mar. 09, 2026
Aug. 06, 2025
Mar. 04, 2025
May 30, 2026
May 19, 2026
Mar. 17, 2026
Feb. 18, 2026
Nov. 19, 2025
Jun. 30, 2021
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Mar. 31, 2026
Dec. 31, 2025
Amortization of debt discount                       $ 968,115 $ 116,775    
Interest rate                       10.00% 10.00%    
Outstanding principal balance                           $ 2,037,184  
Gain on debt extinguishment, net                   $ 47,169 $ 22,011 $ 56,989 $ 47,046    
Promissory note                   1,739,550   1,739,550      
Notes payable                   0   0      
Gain (loss) on debt extinguishment, settlement amount                       209,165      
Converted into common stock                       199,683      
Derivative liability   $ 1,642,776 $ 223,726         $ 72,445   829,211   829,211     $ 1,574,121
Note payable issued     85,050         89,320       115,000      
Net loss on debt extinguishment                       $ 152,177      
Debt discount   $ 1,642,776 $ 81,000         $ 72,445              
Discount rate   50.00% 30.00%         30.00%              
Stock issued during period, shares                       476,265,189      
Stock issued during period, value                       $ 372,959      
Note payable to related party                   63,456   63,456     63,456
Conversion in convertible note                       18,210      
Face amount of related party note payable                   2,064,584   2,064,584      
Accrued interest                   233,614   233,614     103,439
Chief Executive Officer [Member]                              
Proceed from related party                       $ 339,500      
Chief Executive Officer [Member] | Promissory Note [Member]                              
Interest rate                       10.00%      
Promissory note                   1,739,550   $ 1,739,550      
Maturity date                       November 15, 2026      
Convertible promissory note principal balance                       $ 2,064,584      
Proceed from related party                       $ 94,300      
Minimum [Member]                              
Interest rate                       8.00%      
Maximum [Member]                              
Interest rate                       24.00%      
Asset Purchase Agreement [Member]                              
Note payable to related party                 $ 63,456            
Interest rate                 5.00%            
Maturity term period                 three-year            
Monthly installments                 $ 1,902            
Accrued interest                   14,273   $ 14,273     12,700
Note payable another [Member]                              
Maturity date                       January 15, 2027      
Notes payable                   151,800   $ 151,800      
Convertible Notes Payable [Member]                              
Convertible promissory note principal balance                       2,064,584      
Convertible Notes Payable [Member] | Chief Executive Officer [Member]                              
Amortization of debt discount                       $ 968,115      
Interest rate                       10.00%      
Net Discount                   279,357   $ 279,357      
Convertible promissory note principal balance                       2,064,584      
Proceed from related party                       339,500      
Accrued interest       $ 21,099           233,614   233,614      
Note payable [Member]                              
Notes payable                   0   0     $ 89,320
Converted into common stock                       41,757      
Proceed from notes                       47,563      
Original Issue Discount [Member]                              
Notes payable $ 151,800     100,000 $ 115,000   $ 94,300                
Proceeds amount 125,000       93,000   75,000                
Net Discount 19,800       15,000   12,300                
Discount fee 7,000       7,000   7,000                
Derivative liability 32,402       24,630   61,927                
Note payable issued 151,800     $ 100,000 115,000   94,300                
Debt discount $ 32,402       $ 24,630   $ 61,927                
Discount rate 30.00%     30.00% 30.00%   30.00%                
Floor price       $ 0.0005                      
Note payable One [Member]                              
Maturity date           November 30, 2026                  
Notes payable $ 100,000                 $ 339,500   $ 339,500