v3.26.3
DEBT (Tables)
9 Months Ended
Jul. 31, 2026
Debt Disclosure [Abstract]  
SCHEDULE OF OUTSTANDING DEBT INSTRUMENTS

The table below presents outstanding debt instruments as of July 31, 2026 and October 31, 2025:

 

   July 31, 2026   October 31, 2025 
         
Short Term          
2024 Senior secured convertible notes payable  $-   $593,750 
Notes Payable   

125,000

    

-

 
Total Short-Term Debt   125,000    593,750 
Long Term          
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 
2023 Series convertible notes – stock settled   -    405,000 
Discount 2023 Series convertible notes   -    (37,834)
2023 Series B convertible notes – stock settled   -    1,312,600 
Discount 2023 Series B convertible notes   -    (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   1,989,246    8,991,789 
Total Debt  $2,114,246   $9,585,539 
SCHEDULE OF FUTURE MATURITIES OUTSTANDING DEBT OBLIGATIONS

The table below presents the future maturities of outstanding debt obligations as of July 31, 2026:

 

      
Fiscal year 2026  $125,000 
Fiscal year 2027   - 
Fiscal year 2028   - 
Fiscal year 2029   - 
Fiscal year 2030   - 
Fiscal year 2031   1,989,246 
Total  $2,114,246