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CONVERTIBLE DEBT (Tables)
12 Months Ended
Dec. 31, 2023
CONVERTIBLE DEBT  
Schedule of Convertible Debt Activity   2023  2022        Beginning balance convertible notes $100,000  $640,000 New notes      - Payments  (100,000 )  (525,000 )Conversion to common stock      (15,000 )Subtotal notes  -   100,000 Debt discount at year end  -   - Convertible note payable, net of discount $-  $100,000  
Summary of Derivative Liabilities   Amount Balance on January 1, 2022 $45,665 Issuances to debt discount  - Reduction of derivative related to conversions  (11,629 )Change in fair value of derivative liabilities  20,257 Balance on December 31, 2022  54,293 Reduction of derivative related to conversions  (50,909 )Change in fair value of derivative liabilities  (3,384 )Balance on December 31, 2023  $-    December 31,   December 31,    2023  2022 Dividend yield  -   0%Expected volatility  -  87.9%-157.2 Risk free interest rate  -  1.46%-3.75 Contractual terms (in years)  -  1.25 - 0.75