v3.26.3
CONDENSED CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY (DEFICIT) (Unaudited) - USD ($)
Preferred Stock [Member]
Common Stock [Member]
Common Stock to be Issued [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
Total
Balance - April 30, 2025 at Apr. 30, 2025 $ 238,269 $ 120,432 $ 6,942,106 $ (8,447,481) $ (1,146,674)
Beginning Balance, Shares at Apr. 30, 2025 51 238,251,927 1,187,500      
Conversion of debt and interest to common stock $ 6,218 55,962 62,180
Conversion of notes payable and accrued interest, Shares   6,218,041        
Net loss (584,252) (584,252)
Sale of common stock $ 1,250 11,250 12,500
Sale of common stock, Shares   1,250,000        
Common stock issued as commitment fees $ 20,625 61,604 82,229
Common stock issued as commitment fees, Shares   20,625,000        
Warrants issued with convertible notes payable 64,962 64,962
Issuance of issuable shares $ 500 $ (1,932) 1,432
Issuance of issuable shares, Shares   500,000 (500,000)      
Warrants issued for services 17,857 17,857
Exercise of warrants $ 4,536 40,821 45,357
Exercise of warrants, Shares   4,535,714        
Deemed dividend from warrant price protection 117,629 (117,629)
Balance - July 31, 2025 at Jul. 31, 2025 $ 271,398 $ 118,500 7,313,623 (9,149,362) (1,445,841)
Ending Balance, Shares at Jul. 31, 2025 51 271,380,682 687,500      
Balance - April 30, 2025 at Apr. 30, 2026 $ 444,920 $ 118,500 8,925,314 (11,585,953) (2,097,219)
Beginning Balance, Shares at Apr. 30, 2026 51 444,899,171 687,500      
Conversion of debt and interest to common stock $ 5,776 48,981 54,757
Conversion of notes payable and accrued interest, Shares   5,775,702        
Common stock issued for finance fees $ 23,714 260,858 284,572
Stock issued for finance fees, Shares   23,714,317        
Common stock issued to settle debt $ 16,000 192,000 208,000
Common stock issued to settle debt, Shares   16,000,000        
Cashless exercise of warrants $ 866 (866)
Cashless exercise of warrants, Shares   865,740        
Net loss 775,538 775,538
Warrants issued with convertible notes payable          
Warrants issued for services          
Balance - July 31, 2025 at Jul. 31, 2026 $ 491,276 $ 118,500 $ 9,426,287 $ (10,810,415) $ (774,352)
Ending Balance, Shares at Jul. 31, 2026 51 491,254,930 687,500