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Loans payable (Details Narrative) - USD ($)
Oct. 05, 2021
Oct. 01, 2021
Aug. 04, 2021
Jul. 27, 2021
Mar. 24, 2021
Mar. 01, 2021
Feb. 15, 2021
Nov. 20, 2020
Jul. 28, 2020
Jun. 06, 2019
Oct. 01, 2017
Mar. 31, 2022
Jun. 30, 2021
Jan. 25, 2021
Jun. 30, 2019
Unpaid interest expense                       $ 679,776 $ 509,997    
Outstanding loan balance                       1,705,750 701,193    
Outstanding loan balance, current                       874,962 392,605    
Outstanding loan balance, noncurrent                       830,788 308,588    
SWC Group, Inc. [Member] | Equipment Loan Agreement [Member]                              
Debt instrument due date                   Jun. 21, 2024          
Outstanding balance                       13,771 19,506    
Debt periodic payment                   $ 648          
Business Backer [Member]                              
Original principal amount               $ 215,760              
Debt instrument interest rate               4.00%              
Outstanding balance                       0 109,925    
Debt periodic payment               $ 3,425              
John Deere Financial [Member]                              
Original principal amount         $ 69,457                    
Debt instrument interest rate         2.85%                    
Outstanding balance                       55,015 65,726    
Debt instrument term         60 months                    
Coastline lending group [Member]                              
Original principal amount     $ 490,000                        
Debt instrument due date     Aug. 14, 2024                        
Debt instrument interest rate     8.50%                        
Debt instrument term     36 months                        
Periodic payment terms, payment to be paid     $ 3,471                        
Outstanding loan balance                       490,000      
Ram Cargo Vans [Member] | Five Auto Loan Agreement [Member]                              
Debt periodic payment   $ 418                          
Debt instrument term   60 months                          
Outstanding loan balance   $ 124,332                   113,971      
Debt instrument interest rate   6.44%                          
Hitachi Capital America [Member] | Auto Loan Agreement [Member]                              
Debt instrument term 60 months                            
Outstanding loan balance $ 32,464                     30,210      
Debt instrument interest rate 8.99%                            
Payment principal $ 587                            
Hitachi Capital America [Member] | Two Auto Loan Agreement [Member]                              
Debt instrument term 60 months                            
Outstanding loan balance $ 64,730                     60,235      
Debt instrument interest rate 8.99%                            
Payment principal $ 674                            
WNDR Group Inc [Member]                              
Original principal amount           $ 100,000                  
Debt instrument due date           Dec. 31, 2022                  
Debt instrument interest rate           2.00%                  
Promissory Note [Member] | Greater Asia Technology Limited [Member]                              
Original principal amount                     $ 100,000        
Debt instrument due date                     Jun. 30, 2018        
Debt instrument interest rate                     33.33%        
Outstanding balance                       36,695 49,541    
Short Term Loans [Member] | Greater Asia Technology Limited [Member]                              
Original principal amount                             $ 375,000
Outstanding balance                       100,000 100,000    
Short Term Loans [Member] | Greater Asia Technology Limited [Member] | Minimum [Member]                              
Debt instrument interest rate                             40.00%
Short Term Loans [Member] | Greater Asia Technology Limited [Member] | Maximum [Member]                              
Debt instrument interest rate                             50.00%
July 2020 PPP Note [Member] | Bank of America [Member] | CARES Act [Member]                              
Original principal amount       $ 500,000         $ 159,900            
Debt instrument interest rate                 3.75%            
Debt periodic payment                 $ 731            
July 2020 PPP Note [Member] | Bank of America [Member] | Minimum [Member] | CARES Act [Member]                              
Debt periodic payment       731                      
July 2020 PPP Note [Member] | Bank of America [Member] | Maximum [Member] | CARES Act [Member]                              
Debt periodic payment       $ 2,527                      
January 2021 PPP Note [Member] | Bank of America [Member] | CARES Act [Member]                              
Original principal amount                           $ 96,595  
Debt instrument interest rate                           1.00%  
Outstanding balance                       606,495 256,495    
Promissory Notes [Member] | Manuel Rivera [Member]                              
Original principal amount             $ 100,000                
Debt instrument due date             Sep. 15, 2021                
Outstanding balance                       100,000 100,000    
Debt Instrument, Increase, Accrued Interest             $ 3,500                
Debt instrument term             7 months                
Debt instrument, description             The Company shall pay the investor a fee of $70,000 within 45 days of its first harvest.                
Unpaid interest expense                       $ 45,500 $ 14,000