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LINE OF CREDIT AND NOTES PAYABLE (Tables)
9 Months Ended
Sep. 30, 2025
Debt Disclosure [Abstract]  
SCHEDULE OF CHANGES IN DERIVATIVE LIABILITY

The following is the change in derivative liability for the nine Months ended September 30, 2025:

 

      
Balance, January 1, 2025  $- 
      
Issuance of new derivative liability   1,749,895 
Conversions   - 
Change in fair market value of derivative liability   (924,588)
      
Balance, September 30, 2025  $825,307 
SCHEDULE OF CONVERTIBLE NOTES

Total due to Convertible Notes

   September 30, 2025   December 31, 2024 
Total convertible notes  $2,848,324    2,649,197 
Accrued interest   118,920    492,401 
Debt discount   (576,680)   (93,725)
Amortization of debt discount   -    46,704 
Total  $2,390,564    3,094,577