CONVERTIBLE NOTES PAYABLE (Details) - USD ($) | 12 Months Ended | |
Jun. 30, 2023 | Jun. 30, 2022 |
Defined Benefit Plan Disclosure [Line Items] | | | |
Convertible Notes Payable, Current | | $ 2,043,722 | $ 1,330,000 |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | | (1,379,560) | |
Conversion of Stock, Amount Issued | | (665,838) | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | | 1,379,560 | |
Conversion of Stock, Amount Issued | | 665,838 | |
Debt Instrument, Unamortized Discount | | (256,653) | (424,889) |
Convertible Notes Payable | | $ 1,787,069 | 905,111 |
Fast Capital L L C [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [1] | Oct. 26, 2021 | |
Debt Instrument, Maturity Date | [1] | Oct. 26, 2022 | |
Debt Instrument, Interest Rate During Period | [1] | 10% | |
Convertible Notes Payable, Current | [1] | | 30,000 |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [1] | | |
Conversion of Stock, Amount Issued | [1] | (30,000) | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [1] | | |
Conversion of Stock, Amount Issued | [1] | $ 30,000 | |
O N E 44 Capital L L C [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [2] | Jan. 13, 2022 | |
Debt Instrument, Maturity Date | [2] | Jan. 13, 2023 | |
Debt Instrument, Interest Rate During Period | [2] | 10% | |
Convertible Notes Payable, Current | [2] | $ 122,400 | 160,000 |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [2] | | |
Conversion of Stock, Amount Issued | [2] | (37,600) | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [2] | | |
Conversion of Stock, Amount Issued | [2] | $ 37,600 | |
Mast Hill Fund L. P [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [3] | Jan. 20, 2022 | |
Debt Instrument, Maturity Date | [3] | Jan. 20, 2023 | |
Debt Instrument, Interest Rate During Period | [3] | 12% | |
Convertible Notes Payable, Current | [3] | $ 302,312 | 350,000 |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [3] | (250,000) | |
Conversion of Stock, Amount Issued | [3] | (297,688) | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [3] | 250,000 | |
Conversion of Stock, Amount Issued | [3] | $ 297,688 | |
Sixth Street Lending L L C 1 [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [4] | Feb. 01, 2022 | |
Debt Instrument, Maturity Date | [4] | Feb. 01, 2023 | |
Debt Instrument, Interest Rate During Period | [4] | 10% | |
Convertible Notes Payable, Current | [4] | | 80,000 |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [4] | | |
Conversion of Stock, Amount Issued | [4] | (80,000) | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [4] | | |
Conversion of Stock, Amount Issued | [4] | $ 80,000 | |
O N E 44 Capital L L C 1 [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [2] | Mar. 22, 2022 | |
Debt Instrument, Maturity Date | [2] | Mar. 22, 2023 | |
Debt Instrument, Interest Rate During Period | [2] | 10% | |
Convertible Notes Payable, Current | [2] | $ 120,000 | 120,000 |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [2] | | |
Conversion of Stock, Amount Issued | [2] | 0 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [2] | | |
Conversion of Stock, Amount Issued | [2] | $ 0 | |
Sixth Street Lending L L C 2 [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [4] | Apr. 13, 2022 | |
Debt Instrument, Maturity Date | [4] | Apr. 13, 2023 | |
Debt Instrument, Interest Rate During Period | [4] | 10% | |
Convertible Notes Payable, Current | [4] | | 55,000 |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [4] | | |
Conversion of Stock, Amount Issued | [4] | (55,000) | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [4] | | |
Conversion of Stock, Amount Issued | [4] | $ 55,000 | |
N 1800 Diagonal Lending L L C [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [4] | May 23, 2022 | |
Debt Instrument, Maturity Date | [4] | May 23, 2023 | |
Debt Instrument, Interest Rate During Period | [4] | 10% | |
Convertible Notes Payable, Current | [4] | | 55,000 |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [4] | | |
Conversion of Stock, Amount Issued | [4] | (55,000) | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [4] | | |
Conversion of Stock, Amount Issued | [4] | $ 55,000 | |
Coventry Enterprises L L C 1 [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [5] | Jun. 03, 2022 | |
Debt Instrument, Maturity Date | [5] | Jun. 03, 2023 | |
Debt Instrument, Interest Rate During Period | [3],[5] | 10% | |
Convertible Notes Payable, Current | [5] | $ 576,000 | 480,000 |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [5] | (96,000) | |
Conversion of Stock, Amount Issued | [5] | 0 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [5] | 96,000 | |
Conversion of Stock, Amount Issued | [5] | $ 0 | |
N 1800 Diagonal Lending L L C 1 [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [4] | Jul. 26, 2022 | |
Debt Instrument, Maturity Date | [4] | Jul. 26, 2023 | |
Debt Instrument, Interest Rate During Period | [4] | 10% | |
Convertible Notes Payable, Current | [4] | $ 48,700 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [4] | (59,250) | |
Conversion of Stock, Amount Issued | [4] | (10,550) | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [4] | 59,250 | |
Conversion of Stock, Amount Issued | [4] | $ 10,550 | |
Mast Hill Fund L. P 1 [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [6] | Sep. 19, 2022 | |
Debt Instrument, Maturity Date | [6] | Sep. 19, 2023 | |
Debt Instrument, Interest Rate During Period | [6] | 12% | |
Convertible Notes Payable, Current | [6] | $ 290,000 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [6] | (290,000) | |
Conversion of Stock, Amount Issued | [6] | 0 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [6] | 290,000 | |
Conversion of Stock, Amount Issued | [6] | $ 0 | |
N 1800 Diagonal Lending L L C 2 [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [4] | Nov. 11, 2022 | |
Debt Instrument, Maturity Date | [4] | Nov. 11, 2023 | |
Debt Instrument, Interest Rate During Period | [4] | 10% | |
Convertible Notes Payable, Current | [4] | $ 44,250 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [4] | (44,250) | |
Conversion of Stock, Amount Issued | [4] | 0 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [4] | 44,250 | |
Conversion of Stock, Amount Issued | [4] | $ 0 | |
Mast Hill Fund L. P 2 [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [7] | Dec. 16, 2022 | |
Debt Instrument, Maturity Date | [7] | Dec. 16, 2022 | |
Debt Instrument, Interest Rate During Period | [7] | 12% | |
Convertible Notes Payable, Current | [7] | $ 133,000 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [7] | (233,000) | |
Conversion of Stock, Amount Issued | [7] | (100,000) | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [7] | 233,000 | |
Conversion of Stock, Amount Issued | [7] | $ 100,000 | |
Mast Hill Fund L. P 3 [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [8] | Jan. 13, 2023 | |
Debt Instrument, Maturity Date | [8] | Dec. 16, 2022 | |
Debt Instrument, Interest Rate During Period | [8] | 12% | |
Convertible Notes Payable, Current | [8] | $ 347,060 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [8] | (347,060) | |
Conversion of Stock, Amount Issued | [8] | 0 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [8] | 347,060 | |
Conversion of Stock, Amount Issued | [8] | $ 0 | |
Coventry Enterprises L L C 2 [Member] | | | |
Defined Benefit Plan Disclosure [Line Items] | | | |
[custom:ConvertibleIssuanceOfDate] | [9] | May 12, 2023 | |
Debt Instrument, Maturity Date | [9] | May 12, 2024 | |
Convertible Notes Payable, Current | [9] | $ 60,000 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [9] | (60,000) | |
Conversion of Stock, Amount Issued | [9] | 0 | |
[custom:IncreaseInConvertibleNotesPayableCurrent-0] | [9] | 60,000 | |
Conversion of Stock, Amount Issued | [9] | $ 0 | |
| |
[1]61% of the lowest trading price for 15 days, including conversion date.[2] 60% of the lowest trading price for 20 days, including conversion date. Convertible only upon an event of default. Conversion would then be $0.10. 61% of the lowest trading price for 15 days prior to conversion date. Convertible only upon an event of default. 90% of the lowest trading price for 10 days prior to conversion date. Convertible at $0.0015 Convertible at $0.0007 Convertible at $0.0003 Monthly payments of $9,428.57. Convertible only upon an event of default. Conversion would then be 90% of the lowest trade during the 30 days prior to conversion. | |