Quarterly report [Sections 13 or 15(d)]

SCHEDULE OF CHANGES IN NOTE DISCOUNTS (Details)

v3.25.1
SCHEDULE OF CHANGES IN NOTE DISCOUNTS (Details) - USD ($)
3 Months Ended 12 Months Ended
Mar. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Short-Term Debt [Line Items]      
Convertible notes payable as of beginning balance $ 2,021,988 $ 2,507,636 $ 2,279,316
Convertible notes payable issued in 2025 379,717 1,063,500 1,748,520
Conversion of debt for common stock (1,549,148) (1,520,200)
Convertible notes payable as of ending balance 2,401,705 2,021,988 2,507,636
Note discounts as of beginning balance 130,252 297,337  
Note discounts issued in conjunction with debt 165,500 672,242  
2025 accretion of note discounts (83,343) (839,327)  
Note discounts as of ending balance 212,409 130,252 297,337
Convertible notes payable, net $ 2,189,296 $ 1,891,736 1,891,736
Effective interest rate 3.00% 42.00%  
Convertible Promissory Note One [Member]      
Short-Term Debt [Line Items]      
Convertible notes payable as of beginning balance $ 620,553 $ 864,136 700,816
Convertible notes payable issued in 2025 56,416 163,320
Conversion of debt for common stock (299,999)
Convertible notes payable as of ending balance 620,553 620,553 864,136
Note discounts as of beginning balance 42,195 114,995  
Note discounts issued in conjunction with debt 56,414  
2025 accretion of note discounts (13,910) (129,214)  
Note discounts as of ending balance 28,285 $ 42,195 114,995
Convertible notes payable, net $ 592,268   578,358
Effective interest rate 2.00% 21.00%  
Convertible Promissory Note Two [Member]      
Short-Term Debt [Line Items]      
Convertible notes payable as of beginning balance $ 935,736 $ 1,379,500 1,578,500
Convertible notes payable issued in 2025 97,655 142,000
Conversion of debt for common stock (541,419) (341,000)
Convertible notes payable as of ending balance 935,736 935,736 1,379,500
Note discounts as of beginning balance 52,675 100,810  
Note discounts issued in conjunction with debt 97,657  
2025 accretion of note discounts (24,080) (145,792)  
Note discounts as of ending balance 28,595 $ 52,675 100,810
Convertible notes payable, net $ 907,141   883,061
Effective interest rate 3.00% 16.00%  
Convertible Promissory Note Three [Member]      
Short-Term Debt [Line Items]      
Convertible notes payable as of beginning balance $ 294,400 $ 264,000
Convertible notes payable issued in 2025 30,400 1,443,200
Conversion of debt for common stock (1,179,200)
Convertible notes payable as of ending balance 294,400 294,400 264,000
Note discounts as of beginning balance 15,951 81,532  
Note discounts issued in conjunction with debt 30,400  
2025 accretion of note discounts (7,496) (95,981)  
Note discounts as of ending balance 8,455 $ 15,951 81,532
Convertible notes payable, net $ 285,945   278,449
Effective interest rate 3.00% 33.00%  
Convertible Promissory Note Four [Member]      
Short-Term Debt [Line Items]      
Convertible notes payable as of beginning balance $ 171,299
Convertible notes payable issued in 2025 879,029
Conversion of debt for common stock (707,730)
Convertible notes payable as of ending balance 171,299 171,299
Note discounts as of beginning balance 19,431  
Note discounts issued in conjunction with debt 487,771  
2025 accretion of note discounts (7,053) (468,340)  
Note discounts as of ending balance 12,378 $ 19,431
Convertible notes payable, net $ 158,921   151,868
Effective interest rate 4.00% 273.00%  
Regulation D [Member]      
Short-Term Debt [Line Items]      
Convertible notes payable as of beginning balance
Convertible notes payable issued in 2025 379,717
Conversion of debt for common stock
Convertible notes payable as of ending balance 379,717
Note discounts as of beginning balance  
Note discounts issued in conjunction with debt 165,500  
2025 accretion of note discounts (30,804)  
Note discounts as of ending balance 134,696
Convertible notes payable, net $ 245,021  
Effective interest rate 8.00%