v3.25.1
Notes Payable - Schedule of Fair Values of the Embedded Convertible Notes Derivatives and Tainted Convertible Notes Using the Lattice Valuation (Details)
Mar. 31, 2025
Dec. 31, 2024
Common stock issuable [Member]    
Schedule of Fair Values of the Embedded Convertible Notes Derivatives and Tainted Convertible Notes Using the Lattice Valuation [Line Items]    
Valuation assumptions 182,438 180,346
Market value of common stock on measurement date [Member]    
Schedule of Fair Values of the Embedded Convertible Notes Derivatives and Tainted Convertible Notes Using the Lattice Valuation [Line Items]    
Valuation assumptions 0.032 0.026
Adjusted exercise price [Member]    
Schedule of Fair Values of the Embedded Convertible Notes Derivatives and Tainted Convertible Notes Using the Lattice Valuation [Line Items]    
Valuation assumptions 0.06 0.06
Risk free interest rate [Member]    
Schedule of Fair Values of the Embedded Convertible Notes Derivatives and Tainted Convertible Notes Using the Lattice Valuation [Line Items]    
Valuation assumptions 4.08 4.26
Instrument lives in years [Member]    
Schedule of Fair Values of the Embedded Convertible Notes Derivatives and Tainted Convertible Notes Using the Lattice Valuation [Line Items]    
Valuation assumptions 0.5 0.25
Expected volatility [Member]    
Schedule of Fair Values of the Embedded Convertible Notes Derivatives and Tainted Convertible Notes Using the Lattice Valuation [Line Items]    
Valuation assumptions 271.1 7.8
Expected dividend yields [Member]    
Schedule of Fair Values of the Embedded Convertible Notes Derivatives and Tainted Convertible Notes Using the Lattice Valuation [Line Items]    
Valuation assumptions 0 0