Annual report pursuant to Section 13 and 15(d)

Convertible Notes Payable (Details) - Schedule of convertible notes payable

v3.22.2.2
Convertible Notes Payable (Details) - Schedule of convertible notes payable - USD ($)
12 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Principal [Member]    
Convertible Notes Payable (Details) - Schedule of convertible notes payable [Line Items]    
Balance at beginning $ 2,935,400
Convertible notes payable issued 1,086,957 822,800
Notes converted into shares of common stock   (1,433,000)
Debt discount associated with new convertible notes  
Amortization of debt discount  
True-up adjustment in debt discount and derivative liability  
Notes retired due to refinancing (in Shares)   (2,325,200)
Balance at ending 1,086,957
Debt Discount [Member]    
Convertible Notes Payable (Details) - Schedule of convertible notes payable [Line Items]    
Balance at beginning (605,211)
Convertible notes payable issued  
Notes converted into shares of common stock  
Debt discount associated with new convertible notes (1,018,229) (512,993)
Amortization of debt discount 275,423 814,769
True-up adjustment in debt discount and derivative liability   $ (37,360)
Notes retired due to refinancing (in Shares)   340,795
Balance at ending 742,806
Net Value [Member]    
Convertible Notes Payable (Details) - Schedule of convertible notes payable [Line Items]    
Balance at beginning 2,330,189
Convertible notes payable issued 1,086,957 822,800
Notes converted into shares of common stock   (1,433,000)
Debt discount associated with new convertible notes (1,018,229) (512,993)
Amortization of debt discount 275,423 814,769
True-up adjustment in debt discount and derivative liability   $ (37,360)
Notes retired due to refinancing (in Shares)   (1,984,405)
Balance at ending $ 344,151