Quarterly report pursuant to Section 13 or 15(d)

SCHEDULE OF RELATED PARTY NOTES PAYABLE (Details) (Parenthetical)

v3.23.1
SCHEDULE OF RELATED PARTY NOTES PAYABLE (Details) (Parenthetical)
3 Months Ended 12 Months Ended
Dec. 02, 2021
USD ($)
Jan. 02, 2021
USD ($)
Jan. 02, 2021
USD ($)
Oct. 30, 2020
USD ($)
$ / shares
shares
Apr. 15, 2020
USD ($)
Feb. 14, 2020
USD ($)
$ / shares
shares
Feb. 13, 2020
Jan. 03, 2020
USD ($)
shares
Jan. 02, 2020
USD ($)
shares
Dec. 04, 2019
USD ($)
$ / shares
shares
Mar. 31, 2023
USD ($)
$ / shares
Mar. 31, 2022
USD ($)
Dec. 31, 2019
USD ($)
$ / shares
shares
Dec. 31, 2022
USD ($)
Feb. 16, 2022
$ / shares
Feb. 03, 2022
USD ($)
Feb. 12, 2021
Feb. 10, 2021
USD ($)
Feb. 28, 2020
USD ($)
shares
Feb. 28, 2020
$ / shares
Jan. 03, 2020
$ / shares
Jan. 02, 2020
$ / shares
Aug. 15, 2019
USD ($)
Apr. 12, 2018
USD ($)
Feb. 19, 2018
Feb. 09, 2018
USD ($)
Conversion price | $ / shares                     $ 0.10       $ 0.05                      
Amortization of debt discount                     $ 13,857 $ 13,857                            
Joel Oppenheim [Member]                                                    
Notes payable - related party                     $ 266,900     $ 266,900   $ 150,000                    
Debt interest rate                     10.00%                              
Debt maturity date                     Dec. 31, 2021                              
Ivar Siem [Member]                                                    
Notes payable - related party [1]                     $ 278,435     $ 278,435                        
Debt interest rate [1]                     9.00%                              
Debt maturity date [1]                     Dec. 31, 2021                              
Mark M Allen [Member]                                                    
Debt instrument face amount         $ 55,000                                          
Debt interest rate         9.00%                                          
Debt maturity date         Sep. 02, 2021                                          
Revolving Line Of Credit Agreement [Member] | Jovian Petroleum Corporation [Member]                                                    
Revolving line of credit                                               25.00% 3.50%  
Revolving Line Of Credit Agreement [Member] | Jovian Petroleum Corporation [Member]                                                    
Revolving line of credit                                               $ 500,000   $ 200,000
Amended Loan Agreement [Member]                                                    
Debt instrument face amount $ 2,085,432                                                  
Debt interest rate 10.00%                                                  
Debt maturity date Dec. 31, 2022                                                  
Assets working interest 25.00%                                                  
Loan Agreement [Member]                                                    
Debt instrument face amount                 $ 1,000,000                   $ 50,000              
Debt interest rate                 10.00%                   0.00%              
Debt maturity date                 Jun. 30, 2020                                  
Warrant exercise price | (per share)       $ 0.05                               $ 0.10   $ 0.10        
Warrant to purchase of common stock | shares       5,000,000         5,000,000                   200,000              
Warrant maturity date       Jan. 06, 2023         Jan. 02, 2023                   Mar. 01, 2022              
Amortization of debt discount       $ 4,614         $ 11,111                                  
Loan Agreement [Member] | Ivar Siem [Member]                                                    
Debt instrument face amount   $ 278,435 $ 278,435             $ 100,000                         $ 75,000      
Debt interest rate   9.00% 9.00%             12.00%                         12.00%      
Debt maturity date     Dec. 21, 2021                                              
Shares issued on conversion of debt | shares                   1,250,000                                
Conversion price | $ / shares                   $ 0.08                                
Loan Agreement [Member] | Ivar Siem [Member] | Warrant [Member]                                                    
Shares issued on conversion of debt | shares                   5,000,000                                
Warrant exercise price | $ / shares                   $ 0.10                                
Loan Agreement [Member] | Mark M Allen [Member]                                                    
Debt instrument face amount   $ 245,938 $ 245,938     $ 125,000   $ 100,000         $ 200,000                          
Debt interest rate   900.00% 900.00%     10.00%   10.00%         12.00%                          
Debt maturity date   Jun. 30, 2021         Jun. 01, 2020 Jun. 01, 2020         Jun. 30, 2020                          
Shares issued on conversion of debt | shares                         2,500,000                          
Conversion price | $ / shares                         $ 0.08                          
Warrant exercise price | (per share)           $ 0.10                             $ 0.10          
Warrant to purchase of common stock | shares           750,000   400,000                                    
Warrant maturity date           Feb. 14, 2022                                        
Amortization of debt discount           $ 38,249   $ 31,946                                    
Amortization of debt           $ 1,903   $ 1,775                                    
Loan Agreement [Member] | Mark M Allen [Member] | Warrant [Member]                                                    
Shares issued on conversion of debt | shares                         10,000,000                          
Warrant exercise price | $ / shares                         $ 0.10                          
Loan Agreement [Member] | Blue Sky Resource [Member]                                                    
Debt instrument face amount                               $ 150,000   $ 416,900                
Debt interest rate                                 10.00%                  
[1] On August 15, 2019, the Company entered into a loan agreement in the amount of $75,000 with Ivar Siem, a member of the Board of Directors. The note bears interest at an interest rate of 12% per annum with a four (4) month maturity. On December 4, 2019, the Company entered into a loan agreement in the amount of $100,000 with Ivar Siem. The note bears interest at an interest rate of 12% per annum with a six (6) month maturity. At the maturity date, the noteholder has the right to collect the principal plus interest or convert into 1,250,000 shares of common stock at $0.08 per share. In addition, if converted, the noteholder will also receive 5,000,000 warrants at an exercise price of $0.10 per share, vesting immediately with a 36-month expiration period. On February 28, 2020, the Company entered into a $50,000 loan agreement with Ivar Siem. The note does not bear any interest (0% interest rate) and is due on demand. The note includes warrants to purchase 200,000 shares of common stock (the “Loan Warrants”), at an exercise price of $0.10 per share in Canadian dollars and expired on March 1, 2022. The warrants were issued on January 1, 2021. On January 1, 2021, the Company entered into an amended loan agreement in the amount of $278,435, which combined the three previous loans, along with accrued interest. The note bears an interest rate of 9% per annum and matured on December 21, 2021.