Annual report pursuant to Section 13 and 15(d)

CONSOLIDATED STATEMENT OF CHANGES IN STOCKHOLDERS' DEFICIT

v3.22.2.2
CONSOLIDATED STATEMENT OF CHANGES IN STOCKHOLDERS' DEFICIT - USD ($)
Issued to Officers [Member]
Stock Payable [Member]
Issued to Officers [Member]
Common Stock [Member]
Additional Paid-in Capital [Member]
Stock Payable [Member]
Retained Earnings [Member]
Noncontrolling Interest [Member]
Total
Balance at May. 31, 2020     $ 12,653 $ 71,196,814 $ 241,109 $ (76,846,124)   $ (5,395,548)
Balance (in Shares) at May. 31, 2020     126,521,416          
Common stock issued to officer from stock payable     $ 55 230,415 (230,470)      
Common stock issued to officer from stock payable (in Shares)     550,000          
Common stock issued $ 80,813 $ 80,813            
Stock issued for services         (25,750)     (25,750)
Common stock issued to employee     $ 15 28,485       28,500
Common stock issued to employee (in Shares)     150,000          
Fair value of warrants issued with debenture offering               0
Loss on extinguishment of debt       6,105,679       6,105,679
Net (loss) income           (15,890,514)   (15,890,514)
Balance at May. 31, 2021     $ 12,723 77,561,393 65,702 (92,736,638)   (15,096,820)
Balance (in Shares) at May. 31, 2021     127,221,416          
Common stock issued for conversion of debt     $ 94 280,906       $ 281,000
Common stock issued for conversion of debt (in Shares)     936,666          
Common stock issued to officer from stock payable (in Shares)               100,000
Common stock issued         8,780     $ 8,780
Common stock issued to employee     $ 5 4,385 (4,390)     $ 4,390
Common stock issued to employee (in Shares)     50,000         50,000
Fair value of warrants issued with debenture offering       98,448       $ 98,448
Loss on extinguishment of debt               0
Net (loss) income           (2,343,179) $ (97,211) (2,440,390)
Balance at May. 31, 2022     $ 12,822 $ 77,945,132 $ 70,092 $ (95,079,817) $ (97,211) $ (17,148,982)
Balance (in Shares) at May. 31, 2022     128,208,082