Annual report pursuant to Section 13 and 15(d)

Derivative Liability (Details) - Schedule of reconciliation of derivative liability

v3.21.2
Derivative Liability (Details) - Schedule of reconciliation of derivative liability - USD ($)
24 Months Ended
Jun. 30, 2021
Jun. 29, 2021
Schedule of reconciliation of derivative liability [Abstract]    
Beginning balance of derivative liability   $ 1,306,748
Change in derivative liability during the period $ (853,329) (858,774)
Notes retired due to refinancing (1,287,662)  
Reclassify derivative liability associated with Notes converted into loss on debt conversion account   (581,219)
Ending balance of derivative liability 1,590,638
Initial derivative liability accounted for convertible notes payable issued during the period 512,993 $ 1,723,883
True-up adjustment in debt discount and derivative liability $ 37,360