Quarterly report pursuant to Section 13 or 15(d)

DEBENTURES (Tables)

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DEBENTURES (Tables)
3 Months Ended
Mar. 31, 2024
Debt Disclosure [Abstract]  
SCHEDULE OF OUTSTANDING DEBENTURES

The following table summarizes our outstanding debentures as of the dates indicated:

 

    Maturity   Cash
Interest Rate
    March 31,
2024
    December 31,
2023
 
Principal (First Tranche Debentures)   12/31/2024     5.00% - 8.00 %   $ 731,842     $ 3,029,676  
Principal (Second Tranche Debentures)   07/17/2025     5.00% - 8.00 %     1,082,770       2,940,461  
Principal (Third Tranche Debentures)   04/18/2026     5.00% - 8.00 %     2,276,010       2,750,000  
Principal (Fourth Tranche Debentures)   06/01/2026     5.00% - 8.00 %     2,750,000       2,750,000  
Principal (Fifth Tranche Debentures)   08/20/2026     5.00% - 8.00 %     1,100,000       -  
Debt issuance costs and discounts (Note 8 & 11)                 (5,869,877 )     (7,385,494 )
Total Debentures (current)               $ 2,070,745     $ 4,084,643