Quarterly report pursuant to Section 13 or 15(d)

LOANS (Details Narrative)

v3.24.1.1.u2
LOANS (Details Narrative)
1 Months Ended 3 Months Ended 9 Months Ended 12 Months Ended
Jul. 05, 2023
USD ($)
$ / shares
shares
Nov. 03, 2022
USD ($)
Oct. 03, 2019
Jul. 31, 2023
USD ($)
Mar. 31, 2024
USD ($)
$ / shares
Mar. 31, 2023
USD ($)
Mar. 31, 2024
USD ($)
$ / shares
Mar. 31, 2023
USD ($)
Jun. 30, 2023
USD ($)
Nov. 30, 2023
USD ($)
Nov. 30, 2023
AUD ($)
Jul. 05, 2023
AUD ($)
Jun. 30, 2022
USD ($)
Nov. 30, 2020
USD ($)
Debt instrument face amount         $ 91,300   $ 91,300       $ 32,616      
Debt instrument interest rate stated percentage 10.00%                     10.00%    
Settlement of convertible debt             142,909            
Interest payable current and non current         11,080   11,080              
Amortization of debt discounts             246,612 138,014            
Proceeds from loan payable - related party             153,256              
Remaining debt discount         432,540   432,540   $ 338,362          
Gain on extinguishment of debt         (6,781) $ (10,724) 27,318 32,186            
Crown Bridge Partners, LLC [Member]                            
Debt instrument face amount         $ 65,280   $ 65,280              
Debt instrument interest rate stated percentage         15.00%   15.00%              
Interest payable current and non current         $ 43,100   $ 43,100              
Warrant [Member]                            
Stock valuation price per share | $ / shares         $ 0.119   $ 0.119              
Warrant exercise price | $ / shares             $ 0.01              
Warrant [Member] | Measurement Input, Expected Dividend Rate [Member]                            
Volatility         0   0              
Warrant [Member] | Measurement Input, Risk Free Interest Rate [Member]                            
Volatility         4.59   4.59              
Warrant [Member] | Measurement Input, Price Volatility [Member]                            
Volatility         268   268              
Letter Agreement [Member]                            
Debt instrument face amount $ 153,256                     $ 230,000    
Maturity term 3 years                          
Maturity date Jul. 05, 2026                          
Debt instrument interest rate stated percentage 10.00%                     10.00%    
Issue of warrants | shares 15,000,000                          
Share price | $ / shares $ 0.01                          
Fair value adjustment of warrants $ 141,084                          
Letter Agreement [Member] | Coventry Enterprises LLC Securities Purchase Agreement [Member]                            
Settlement of convertible debt             $ 143,000              
Letter Agreement [Member] | Warrant [Member]                            
Stock valuation price per share | $ / shares $ 0.119                          
Warrant exercise price | $ / shares $ 0.01                          
Letter Agreement [Member] | Warrant [Member] | Measurement Input, Expected Dividend Rate [Member]                            
Volatility 0                     0    
Letter Agreement [Member] | Warrant [Member] | Measurement Input, Expected Term [Member]                            
Maturity term 3 years                          
Letter Agreement [Member] | Warrant [Member] | Measurement Input, Risk Free Interest Rate [Member]                            
Volatility 4.59                     4.59    
Letter Agreement [Member] | Warrant [Member] | Measurement Input, Price Volatility [Member]                            
Volatility 268                     268    
Securities Purchase Agreement [Member]                            
Debt instrument face amount                 65,280          
Maturity date     Oct. 03, 2020                      
Amortization of debt discounts             196,625 210,278            
Securities Purchase Agreement [Member] | Coventry Enterprises LLC Securities Purchase Agreement [Member]                            
Debt instrument interest rate stated percentage   10.00%                        
Settlement of convertible debt       $ 142,979                    
Interest payable current and non current       $ 70 $ 2,043   2,043   22,749          
Amortization of debt discounts   $ 37,500                        
Securities Purchase Agreement [Member] | Crown Bridge Partners, LLC [Member]                            
Debt instrument face amount         65,280   65,280   65,280       $ 65,280 $ 9,600
Maturity date     Oct. 03, 2020                      
Debt instrument interest rate stated percentage     15.00%                      
Interest payable current and non current         43,100   43,100   35,722       $ 25,930  
Convertible debt         65,280   65,280              
Gain on extinguishment of debt               $ 43,520 43,520          
Related Party [Member]                            
Loan payable         48,218   48,218   49,314          
Loan payable         32,616   32,616   $ 32,616        
Interest payable current and non current         11,337   11,337              
Amortization of debt discounts             34,756              
Remaining debt discount         106,328   106,328              
Loan payable - long-term - related party, net of discount         $ 46,928   $ 46,928