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DEBT (Tables)
9 Months Ended
Sep. 30, 2025
Debt Disclosure [Abstract]  
Schedule of notes payable
 Schedule of notes payable                
   September 30, 2025   December 31, 2024 
Notes Payable  Principal   Interest   Principal   Interest 
                 
Third Party - Insurance Note 1  $    7.65%  $13,002    8.00%
Third Party - Insurance Note 2   8,193        4,070     
Third Party - Insurance Note 3   36,040             
Total  $44,233       $17,072     
Schedule of promissory notes payable
 Schedule of promissory notes payable        
   September 30,
2025
   December 31,
2024
 
Notes Payable  $   $2,200,000 
Unamortized Discount       (441,604)
Notes Payable, net  $   $1,758,396 
Schedule of assumptions in determining
 Schedule of assumptions in determining                
   Upon Grant   Upon Exercise 
   21 April Fund LP   21 April Fund Ltd   21 April Fund LP   21 April Fund Ltd 
Date of Grant (Exercise)  July 22, 2024   July 22, 2024   September 19, 2024   September 19, 2024 
Note Value  $    $    $    $  
Issue (Exercise) Stock Price  $2.77   $2.77   $2.49   $2.49 
Strike  $3.00   $3.00   $2.61   $2.61 
Share Equivalents   92,727    207,273    92,727    207,273 
Strike Price discount   0%   0%   0%   0%
Expected Remaining Term (Years)   5.00    5.00    4.84    4.84 
Historical Volatility   52%   52%   58%   58%
Expected Volatility   100%   100%   58%   58%
Dividend Yield   0%   0%   0%   0%
Annual Rate of Quarterly Dividends  $0.000   $0.000   $0.000   $0.000 
Discount Rate - Bond Equivalent Yield   4.170%   4.170%   3.480%   3.480%