CONVERTIBLE NOTES PAYABLE (Details Narrative) - USD ($)
3 Months Ended 6 Months Ended
Jul. 31, 2018
Jul. 31, 2018
Jul. 31, 2017
Jul. 27, 2018
May 10, 2018
May 08, 2018
Jan. 31, 2018
Jan. 22, 2018
Jan. 17, 2018
Oct. 17, 2017
Principal Amount of Convertible Note $ 297,328 $ 297,328     $ 125,000 $ 125,000 $ 112,500 $ 165,000 $ 165,000 $ 445,000
Amount of Note Borrowed   $ 504,400 $ 115,000              
Debt Discount                 $ 9,000 25,000
Debt Discount Amortized                   $ 10,754
Conversion price per share                 $ .50 $ 0.25
Note holder warrants received common stock purchase value   225,000                
Financing Fees 23,371 $ 40,268                
Shares of Common Stock Issued for Debt       700,000            
Debt owed for shares issued       $ 5,180            
Valuation 1                    
Amount of Note Borrowed   $ 225,000                
Note Due Date   Jul. 17, 2018                
Interest Rate   10.00%                
Debt Discount Amortized $ 112,500 $ 112,500                
Exercise Price $ 0.25 $ 0.25                
Stock price on date of grant $ 0.12 $ 0.12                
Expected Dividend Yield $ 0 $ 0                
Expected Volatilty   25150.00%                
Risk Free Interest Rate for Notes   125.00%                
Risk Free Interest Rate for Warrants   $ 1.97                
Term for notes payable   9 months                
Term for Warrants   5 years                
Derivative Liability recorded as debt discount   $ 168,573                
Valuation 2                    
Note Due Date   Jan. 17, 2019                
Interest Rate   8.00%                
Debt Discount Amortized $ 89,375 $ 89,375                
Exercise Price $ .052 $ .052                
Stock price on date of grant $ .024 $ .024                
Expected Dividend Yield $ 0 $ 0                
Expected Volatilty   11340.00%                
Risk Free Interest Rate for Notes   179.00%                
Term for notes payable   1 year                
Derivative Liability recorded as debt discount   $ 156,000                
Valuation 3                    
Note Due Date   Oct. 22, 2018                
Interest Rate   12.00%                
Debt Discount Amortized $ 107,250 $ 107,250                
Exercise Price $ .037 $ .037                
Stock price on date of grant $ .079 $ .079                
Expected Dividend Yield $ 0 $ 0                
Expected Volatilty   11340000.00%                
Risk Free Interest Rate for Notes   179.00%                
Term for notes payable   9 months                
Derivative Liability recorded as debt discount   $ 165,000                
Valuation 4                    
Note Due Date   May 08, 2018                
Interest Rate   8.00%                
Debt Discount Amortized $ 34,722 $ 34,722                
Exercise Price $ .024 $ .024                
Stock price on date of grant $ .05 $ .05                
Expected Dividend Yield $ 0 $ 0                
Expected Volatilty   13710000.00%                
Risk Free Interest Rate for Notes   244.00%                
Term for notes payable   9 months                
Derivative Liability recorded as debt discount   $ 125,000                
Valuation 5                    
Note Due Date   May 10, 2018                
Interest Rate   12.00%                
Debt Discount Amortized $ 34,722 $ 34,722                
Exercise Price $ .024 $ .024                
Stock price on date of grant $ .05 $ .05                
Expected Dividend Yield $ 0 $ 0                
Expected Volatilty   13710000.00%                
Risk Free Interest Rate for Notes   244.00%                
Term for notes payable   9 months                
Derivative Liability recorded as debt discount   $ 125,000