Annual report pursuant to Section 13 and 15(d)

Consolidated Statements of Stockholders' Deficit

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Consolidated Statements of Stockholders' Deficit - USD ($)
Common Stock [Member]
Additional Paid-in Capital [Member]
Stock Payable [Member]
Retained Earnings [Member]
Noncontrolling Interest [Member]
Total
Balance at May. 31, 2022 $ 3,206 $ 77,954,748 $ 70,092 $ (95,079,817) $ (97,211) $ (17,148,982)
Balance (in Shares) at May. 31, 2022 32,052,021          
Common stock issued for conversion of debt $ 4,047 11,528,633       11,532,680
Common stock issued for conversion of debt (in Shares) 40,465,544          
Rounding for reverse split (in Shares) 576          
Common stock issued to employee $ 2 5,044 (4,390)     $ 656
Common stock issued to employee (in Shares) 25,000         12,500
Loss on extinguishment of debt   6,659,359       $ 6,659,359
Net loss       (13,799,629) (1,044,656) (14,844,285)
Balance at May. 31, 2023 $ 7,255 96,147,784 65,702 (108,879,446) (1,141,867) (13,800,572)
Balance (in Shares) at May. 31, 2023 72,543,141          
Common stock issued for conversion of debt $ 6,413 2,167,587       2,174,000
Common stock issued for conversion of debt (in Shares) 64,132,135          
Discounts on notes payable   284,112       284,112
Shares issued to officer as compensation $ 100 38,700       38,800
Shares issued to officer as compensation (in Shares) 1,000,000          
Amortization of employee stock options   25,756       25,756
Common stock returned in settlement of notes payable $ (1,318) (591,530)       (592,848)
Common stock returned in settlement of notes payable (in Shares) (13,174,403)          
Loss on extinguishment of debt   3,447,190       3,447,190
Net loss       (4,487,604) 2,368 (4,485,236)
Balance at May. 31, 2024 $ 12,450 $ 101,519,599 $ 65,702 $ (113,367,050) $ (1,139,499) $ (12,908,798)
Balance (in Shares) at May. 31, 2024 124,500,873