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Consolidated Statements of Changes in Stockholders' Equity (Deficit) - USD ($)
Preferred Stock Series A [Member]
Preferred Stock Series B [Member]
Preferred Stock Series C [Member]
Common Stock [Member]
Additional Paid-In Capital [Member]
Shares to be Issued Common Shares [Member]
Shares to be Cancelled, Preferred Shares [Member]
Subscription Receivable - CS [Member]
Common Stock Subscribed [Member]
Common Shares Subscribed [Member]
Accumulated Deficit [Member]
Noncontrolling Interest [Member]
Total
Beginning Balance at Jun. 30, 2019 $ 2,000 $ 697,610 $ 61,038,875 $ 29,000 $ (47,088,951) $ 14,678,534
Beginning Balance, Shares at Jun. 30, 2019 2,000,000 697,608,570                  
Shares issued for cash $ 138,462 551,817 236,008 926,287
Shares issued for cash, shares 138,461,538                  
Shares issued for conversions $ 1,077,642 971,128 2,048,770
Shares issued for conversions, shares 1,077,643,486                  
Reclass derivative liability to equity from conversion 2,819,825 2,819,825
Shares issued for warrant exercise $ 28,382 (14,249) 14,133
Shares issued for warrant exercise, shares 28,381,818                  
Option granted 118,750 118,750
Shares issued for services compensation $ 415 $ 1,500 5,945,835 5,947,750
Shares issued for services compensation, shares 415,000 1,500,000                  
Shares issued for offcier's compensation $ 1,127 2,927,773 2,928,900
Shares issued for offcier's compensation, shares 1,126,500                  
Shares issued for debt settlement $ 19,182 300,273 (29,000) 290,455
Shares issued for debt settlement, shares 19,181,818                  
Initial valuation of BCF 449,301 449,301
Shares issued/cancelled for Award - Bizright $ (199,500) (17,786,542) (17,986,042)
Shares issued/cancelled for Award - Bizright, shares (199,500,000)                  
Indigo & Budcars Investment 169,262 169,262
Changes in non-controlling interest (184,280) 184,280
Cumulative effect of ASU 2016-02 (10,236) (10,236)
Net loss (21,339,145) (195,416) (21,534,571)
Ending Balance at Jun. 30, 2020 $ 2,000 $ 1,542 $ 1,763,278 57,307,768 236,008 (68,438,332) (11,136) (9,138,873)
Ending Balance, Shares at Jun. 30, 2020 2,000,000 1,541,500 1,763,277,230                  
Beginning Balance at Jun. 30, 2020 $ 2,000 $ 1,542 $ 1,763,278 57,307,768 236,008 (68,438,332) (11,136) (9,138,873)
Beginning Balance, Shares at Jun. 30, 2020 2,000,000 1,541,500 1,763,277,230                  
Shares issued for cash $ 2,639,600 2,227,400 (500,000) (196,000) 4,171,000
Shares issued for cash, shares 2,639,600,002                  
Shares issued for conversions $ 2,451,338 109,033 2,560,371
Shares issued for conversions, shares 2,451,338,059                  
Reclass derivative liability to equity from conversion 4,956,142 4,956,142
Preferred stock conversions $ (2,000) $ 360,647 141,353 500,000
Preferred stock conversions, shares (2,000,000) 360,647,019                  
Reclassification due to deconsolidation of VIE (169,262) 35,136 (134,126)
Repayment of capital to noncontrolling minority (24,000) (24,000)
Shares issued for consulting services $ 187,673 268,221 455,894
Shares issued for consulting services, shares 187,673,367                  
Series B preferred share cancelled $ (1,000) 1,000
Series B preferred share cancelled, shares (1,000,000)                  
Series C preferred share issued to officer
Series C preferred share issued to officer, shares 1                  
Distributions from non-controlling interests in other consoldiated subsidiaires 88,736 88,736
Shares issued for acquisition 5,600,000 1,849,600 7,449,600
Net loss (5,926,134) (188,392) (6,114,526)
Ending Balance at Jun. 30, 2021 $ 542 $ 7,402,536 $ 64,841,655 $ 5,600,000 $ (500,000) $ 1,889,608 $ (74,364,466) $ (99,656) $ 4,770,218
Ending Balance, Shares at Jun. 30, 2021 541,500 1 7,402,535,677