Quarterly report pursuant to Section 13 or 15(d)

Debt (Details) - Schedule of convertible notes payable

v3.22.4
Debt (Details) - Schedule of convertible notes payable - USD ($)
6 Months Ended 12 Months Ended
Dec. 31, 2022
Jun. 30, 2022
Principal [Member]    
Debt (Details) - Schedule of convertible notes payable [Line Items]    
Balance at beginning $ 1,086,957
Ending at ending 905,797 1,086,957
Convertible notes payable issued during fiscal year ended June 30, 2022   1,086,957
Cash repayment (362,319)  
Penalty 181,159  
Stock- settled Debt [Member]    
Debt (Details) - Schedule of convertible notes payable [Line Items]    
Balance at beginning 217,391
Ending at ending 1,988,402 217,391
Conversion price change 1,843,475 217,391
Gain on extinguish of portion of principal (72,464)  
Debt Discount [Member]    
Debt (Details) - Schedule of convertible notes payable [Line Items]    
Balance at beginning (960,197)
Ending at ending   (960,197)
Debt discount associated with new convertible notes   (1,018,229)
Conversion price change   (217,391)
Amortization of debt discount 960,197 275,423
Net Value [Member]    
Debt (Details) - Schedule of convertible notes payable [Line Items]    
Balance at beginning 344,151
Ending at ending 2,894,199 344,151
Convertible notes payable issued during fiscal year ended June 30, 2022   1,086,957
Debt discount associated with new convertible notes   (1,018,229)
Conversion price change 1,843,475
Cash repayment (362,319)  
Gain on extinguish of portion of principal (72,464)  
Amortization of debt discount 960,197 $ 275,423
Penalty $ 181,159