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Note 5 - Notes Payable and Line of Credit (Tables)
12 Months Ended
Mar. 31, 2023
Notes Tables  
Schedule of Debt [Table Text Block]
  

As of March 31, 2023

 
  

Face Value

  

Discount

  

Carrying Value

 

0% Note Payable dated October 23, 2017 (as amended), current portion (Note 5)

 $-  $-  $- 

6% Convertible promissory notes payable (Note 6)

  560,000   -   560,000 

6% Convertible notes payable due January 18, 2022 (Note 6)

  325,000   -   325,000 

6% Convertible note payable due July 1, 2022 (Note 6)

  50,000   -   50,000 

6% Convertible promissory notes payable due September 30, 2023 (Note 6)

  197,000   (9,475

)

  187,525 

6% Convertible note payable due December 31, 2023 (Note 6)

  250,000   (31,755

)

  218,245 

0% Note Payable dated October 23, 2017 (as amended), long term portion (Note 5)

  55,307   -   55,307 

Total short-term notes and convertible notes payable

 $1,437,307  $(41,230

)

 $1,396,077 
  

As of March 31, 2022

 
  

Face Value

  

Discount

  

Carrying Value

 

0% Note Payable dated October 23, 2017 (as amended), current portion (Note 5)

 $54,330  $-  $54,330 

6% Convertible promissory notes payable (Note 6)

  560,000   -   560,000 

6% Convertible notes payable due January 18, 2022 (Note 6)

  325,000   -   325,000 

6% Convertible note payable due July 1, 2022 (Note 6)

  50,000   (1,765

)

  48,235 

Total short-term notes and convertible notes payable

 $989,330  $(1,765

)

 $987,565 
             

6% Convertible promissory notes payable due September 30, 2023 (Note 6)

 $197,000  $(26,254

)

 $170,746 

6% Convertible note payable due December 31, 2023 (Note 6)

  250,000   (73,235

)

  176,765 

0% Note Payable dated October 23, 2017 (as amended), long term portion (Note 5)

  49,797   -   49,797 

Total long term convertible notes payable classified as continuing operations

 $496,797  $(99,489

)

 $397,308