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Convertible Notes (Tables)
3 Months Ended
Sep. 30, 2022
Debt Disclosure [Abstract]  
Schedule of Convertible Notes

As of the period ended September 30, 2022, debt discount of the convertible notes consisted of following:

 

      Debt Discount           Debt Discount 
Start Date  End Date  As of 6/30/2022   Addition   Amortization   As of 9/30/2022 
6/14/2021  6/14/2024   187,077   $-   $(24,071)  $163,006 
1/1/2022  1/1/2025   376,095    -    (37,774)   338,321 
1/5/2022  1/5/2023   42,559    -    (20,716)   21,842 
3/23/2022  3/23/2023   144,296    -    (49,907)   94,389 
4/27/2022  4/27/2023   118,916    -    (36,346)   82,569 
6/8/2022  6/8/2023   206,740    -    (55,452)   151,288 
6/28/2022  6/28/2023   109,397    -    (27,726)   81,671 
1/1/2022  1/1/2025   -    120,000    (19,726)   100,274 
1/5/2022  1/5/2023   -    110,000    (18,082)   91,918 
Total:     $1,185,079   $230,000   $(289,801)  $1,125,278