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SCHEDULE OF DERIVATIVE LIABILITIES (Details) - USD ($)
3 Months Ended 12 Months Ended
Jul. 31, 2023
Jul. 31, 2022
Apr. 30, 2023
Apr. 30, 2022
Offsetting Assets [Line Items]        
Note derivative balance $ 8,345,052   $ 10,489,606  
Note derivative (gain) loss (2,144,554) $ (3,687,495) (10,950,017) $ (18,557,184)
Profit Guaranty [Member]        
Offsetting Assets [Line Items]        
Note derivative balance 1,456,854   1,456,854  
Note derivative (gain) loss   395,304  
Convertible Notes [Member]        
Offsetting Assets [Line Items]        
Note derivative balance 74,958   101,924  
Note derivative (gain) loss (26,966)   (2,611,410)  
Underwriter Warrants [Member]        
Offsetting Assets [Line Items]        
Note derivative balance 4,966   6,531  
Note derivative (gain) loss (1,565)   (57,951)  
Warrants Issued With Common Stock [Member]        
Offsetting Assets [Line Items]        
Note derivative balance 4,668,608   6,109,559  
Note derivative (gain) loss (1,440,951)   (6,170,728)  
Warrants Issued With Notes Payable [Member]        
Offsetting Assets [Line Items]        
Note derivative balance 2,139,666   2,814,738  
Note derivative (gain) loss $ (675,072)   (900,819)  
Other Derivative Liabilities [Member]        
Offsetting Assets [Line Items]        
Note derivative balance      
Note derivative (gain) loss     $ (1,604,413)