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CONVERTIBLE NOTES PAYABLE (Tables)
12 Months Ended
Dec. 31, 2022
Debt Disclosure [Abstract]  
SCHEDULE OF CONVERTIBLE DEBT
Note Date   Purchase Price   Principal Balance   Original Issue Discount   Accrued Interest 
Note   Purchase   Principal   Original Issue   Accrued 
Date   Price   Balance   Discount   Interest 
4/28/2022   $250,000   $277,778   $27,778   $17,083 
4/28/2022   $250,000   $277,778   $27,778   $17,083 
4/28/2022   $250,000   $277,778   $27,778   $17,083 
4/28/2022   $25,000   $27,778   $2,778   $1,708 
4/28/2022   $28,000   $31,111   $3,111   $1,913 
4/28/2022   $28,000   $31,111   $3,111   $1,913 
4/28/2022   $35,000   $38,889   $3,889   $2,392 
12/20/2021*   $25,000   $27,778   $2,778   $2,301 
4/13/2022*   $100,000   $111,111   $11,111   $7,111 
9/9/2022   $25,000   $27,778   $2,778   $1,088 
                      
Total   $1,016,000   $1,128,889   $112,889   $69,675 

 

* Notes sold by Company prior to the April 28, 2022 closing