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NOTES PAYABLE
6 Months Ended
Jun. 30, 2022
Debt Disclosure [Abstract]  
NOTES PAYABLE

NOTE 3 - NOTES PAYABLE 

 

Notes payable at June 30, 2022 consist of the following:   
Unsecured note payable bearing 8% interest, entire balance of principal and unpaid interest due on demand  $124,230 
      
Unsecured note payable bearing 10% interest, entire balance of principal and unpaid interest due on demand  $649,049 
Total notes  $773,279 
2022  $773,279 
2023  $-0- 
2024  $-0- 
2025  $-0- 
2026  $-0- 
   $773,279 

    

The Company imputed interest of $18,919 on the notes during the quarter ended June 30, 2022.