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NOTE 10 - CONVERTIBLE LOANS (Tables)
12 Months Ended
Dec. 31, 2024
Debt Disclosure [Abstract]  
NOTE 10 - CONV ERTIBLE NOTES - Schedule of Convertible Notes
   December 31,  December 31,
   2024  2023
Issued in fiscal year 2023  $     $369,044 
Issued in fiscal year 2024   5,225,308       
Total convertible notes payable   5,225,308    369,044 
Less: Unamortized debt discount   (348,950)   (39,012)
Total convertible notes   4,876,358    330,032 
           
Less: current portion of convertible notes   1,864,432    330,032 
Long-term convertible notes  $3,011,926   $   
NOTE 10 - CONV ERTIBLE NOTES - Schedule of Convertible Notes
Principal Issuance Maturity Interest Payment
amount date date rate schedule
 $    146,900 March 7, 2024 January 15, 2025 12% 10 payments each in the amount of $16,453 beginning on April 15, 2024
 $    177,100 March 7, 2024 January 15, 2025 14% 5 payments, one payment of $100,947 and four payments of $25,237, beginning in September 2024
 $    179,400 July 10, 2024 April 30, 2025 14% 9 payments each in the amount of $22,724 beginning on August 30, 2024
 $    151,960 September 16, 2024 July 15, 2025 14% 5 payments, one payment of $86,617 and four payments of $21,654, beginning in March 2025
 $    179,400 October 15, 2024 July 15, 2025 14% 9 payments each in the amount of $22,724 beginning on November 30, 2024
 $ 1,578,947 December 6, 2024 June 4, 2025 24% Outstanding balance shall be paid on June 4, 2025