SUBSEQUENT EVENTS - Additional Information (Details) £ / shares in Units, $ / shares in Units, £ in Millions |
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3 Months Ended |
4 Months Ended |
12 Months Ended |
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May 13, 2025
USD ($)
Days
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May 12, 2025
USD ($)
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Apr. 22, 2025
USD ($)
Days
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Mar. 14, 2025
USD ($)
$ / shares
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Mar. 14, 2025
$ / shares
£ / shares
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Mar. 03, 2025
USD ($)
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Feb. 28, 2025
USD ($)
shares
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Feb. 19, 2025
USD ($)
shares
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Feb. 17, 2025
shares
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Jan. 14, 2025
USD ($)
Installments
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Sep. 20, 2024
GBP (£)
Employee
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Jul. 23, 2024 |
Mar. 31, 2024
USD ($)
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Apr. 30, 2025
USD ($)
shares
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Dec. 31, 2024
USD ($)
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Apr. 29, 2025
USD ($)
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Mar. 31, 2025
USD ($)
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Mar. 14, 2025
£ / shares
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Sep. 30, 2024
USD ($)
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Jun. 30, 2024
USD ($)
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Dec. 31, 2023
USD ($)
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Dec. 31, 2022
USD ($)
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Subsequent Event [Line Items] |
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Common stock issued |
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$ 2,028
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[1] |
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$ 8,767
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$ 92
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[1] |
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Issuance of Common Stock |
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$ 200,000
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200,000
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Long-term debt amount |
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9,242,183
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9,115,943
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Total Stockholders' Deficit |
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$ (37,434,715)
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$ (37,836,506)
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(38,977,924)
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$ (36,311,850)
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$ (34,793,016)
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$ (32,545,921)
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$ (17,234,376)
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Reverse stock split |
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0.025
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Trumar Capital LLC Acquisition Agreement [Member] |
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Subsequent Event [Line Items] |
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Purchase of ownership interest |
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20.00%
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Payments to acquire ownership interest in cash |
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$ 1,500,000
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Payments to acquire ownership interest in notes |
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$ 23,500,000
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Maturity period of notes |
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5 years
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Percentage of annual interest rate on notes |
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10.00%
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Common stock excess outstanding percentage |
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19.90%
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Shares issued | shares |
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6,086,957
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Assets guaranteed |
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$ 4,200,000
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SYME Strategic Investment [Member] |
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Subsequent Event [Line Items] |
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Aggregate purchase price in cash |
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$ 5,150,000
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Percentage of annual interest rate on notes |
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14.33%
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Fixed conversion rate | $ / shares |
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$ 0.00003
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Exercise price | $ / shares |
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$ 0.000039
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$ 0.000039
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Pipeline value | £ |
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£ 391.0
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Number of employee | Employee |
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15
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Liqueous Settlement Agreement [Member] |
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Subsequent Event [Line Items] |
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Issuance of pre-funded warrants exercisable into common stock | shares |
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9,360,888
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Outstanding pre-funded warrants issued | shares |
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3,647,416
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Remaining outstanding pre-funded warrants issued | shares |
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171,706
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Indigo Capital Convertible Notes |
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Subsequent Event [Line Items] |
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Issuance of Common Stock |
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$ 1,500,000
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Debt instrument face amount |
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$ 307,320
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Debt instrument, maturity date |
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Mar. 01, 2026
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Conversion price equal to discount on lowest volume-weighted average price |
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20.00%
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Volume-weighted average price of conversion period |
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5 days
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Debt instrument conversion, percentage of discount to the lowest trading price |
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19.90%
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Debt Conversion, Description |
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conversion price equal to a 20% discount to the lowest VWAP during the 5 days prior to the conversion date;
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Unsecured Debt [Member] | Indigo Capital Convertible Notes |
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Subsequent Event [Line Items] |
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Debt instrument face amount |
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$ 1,578,495
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Subsequent Event [Member] | Trumar Capital LLC Acquisition Agreement [Member] |
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Subsequent Event [Line Items] |
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Purchase of ownership interest |
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20.00%
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Payments to acquire ownership interest in cash |
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$ 1,500,000
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Payments to acquire ownership interest in notes |
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$ 23,500,000
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Maturity period of notes |
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5 years
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Percentage of annual interest rate on notes |
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10.00%
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Grace period for payment |
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3 months
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Common stock excess outstanding percentage |
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19.90%
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Shares issued | shares |
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6,086,957
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Assets guaranteed |
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$ 4,200,000
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Subsequent Event [Member] | SYME Strategic Investment [Member] |
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Subsequent Event [Line Items] |
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Aggregate purchase price in cash |
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$ 5,150,000
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Convertible notes issued |
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$ 3,000,000
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Fixed conversion rate | £ / shares |
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$ 0.00003
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Exercise price | £ / shares |
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£ 0.000039
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Subsequent Event [Member] | Indigo Capital LLC [Member] | April Two Thousand and Twenty Five Indigo Transactions [Member] |
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Subsequent Event [Line Items] |
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Capital infusion amount |
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$ 1,350,000
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Debt instrument face amount |
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$ 1,421,053
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Debt instrument, maturity date |
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Apr. 21, 2026
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Debt instrument conversion, threshold days prior to conversion date | Days |
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5
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Subsequent Event [Member] | Business Loan and Security Agreement [Member] | Agile Capital Funding LLC [Member] | May 2025 Financing Transactions [Member] |
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Subsequent Event [Line Items] |
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Capital infusion amount |
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$ 500,000
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Debt instrument face amount |
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$ 525,000
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Debt instrument, frequency of payment |
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weekly
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Repayments of secured promissory note |
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$ 27,000
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Periodic payment due, month and year |
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2025-11
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Long-term debt amount |
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$ 756,000
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Subsequent Event [Member] | Liqueous Settlement Agreement [Member] |
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Subsequent Event [Line Items] |
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Aggregate value of claims and obligations payments |
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$ 1,000,000
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Number of installments for claims and obligations payment | Installments |
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3
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Negotiable payment on the term of outstanding to reflect current market price |
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$ 500,000
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Additional equity will be sold other than set forth in settlement |
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$ 0
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Debt instrument face amount |
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$ 411,865
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Shares issued | shares |
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9,186,581
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Subsequent Event [Member] | Liqueous Settlement Agreement [Member] | February 2025 Pre-Funded Warrants [Member] |
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Subsequent Event [Line Items] |
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Issuance of pre-funded warrants exercisable into common stock | shares |
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6,406,225
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Outstanding pre-funded warrants issued | shares |
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3,647,416
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Remaining outstanding pre-funded warrants issued | shares |
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9,360,888
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Subsequent Event [Member] | Humbl Share Exchange Agreement [Member] |
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Subsequent Event [Line Items] |
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Common stock issued |
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$ 2,000,000
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Subsequent Event [Member] | Indigo Capital Convertible Notes |
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Subsequent Event [Line Items] |
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Issuance of Common Stock |
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$ 1,500,000
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1,500,000
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Debt instrument face amount |
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$ 1,578,495
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Debt instrument, maturity date |
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Mar. 01, 2026
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Mar. 01, 2026
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Conversion price equal to discount on lowest volume-weighted average price |
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20.00%
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20.00%
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Volume-weighted average price of conversion period |
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5 days
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5 days
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Debt instrument conversion, percentage of discount to the lowest trading price |
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19.90%
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Debt Conversion, Description |
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conversion price equal to a 20% discount to the lowest VWAP during the 5 days prior to the conversion date.
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Subsequent Event [Member] | Indigo Capital Convertible Notes | August 2024 Convertible Notes |
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Subsequent Event [Line Items] |
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Debt instrument, maturity date |
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Mar. 01, 2026
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Conversion price equal to discount on lowest volume-weighted average price |
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33.33%
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Volume-weighted average price of conversion period |
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5 days
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Subsequent Event [Member] | Unsecured Debt [Member] | April Two Thousand and Twenty Five Indigo Transactions [Member] |
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Subsequent Event [Line Items] |
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Issuances of common stock on conversion of debt, percentage of outstanding common stock |
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19.90%
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Subsequent Event [Member] | Unsecured Debt [Member] | Indigo Capital Convertible Notes |
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Subsequent Event [Line Items] |
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Debt instrument face amount |
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$ 1,578,495
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Subsequent Event [Member] | Unsecured Debt [Member] | Indigo Capital Convertible Notes | August 2024 Convertible Notes |
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Subsequent Event [Line Items] |
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Debt instrument face amount |
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$ 894,708.31
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Subsequent Event [Member] | Convertible Debt [Member] | May 2025 Financing Transactions [Member] |
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Subsequent Event [Line Items] |
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Issuances of common stock on conversion of debt, percentage of outstanding common stock |
19.90%
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Subsequent Event [Member] | Unsecured Promissory Note | Indigo Capital LLC [Member] | April Two Thousand and Twenty Five Indigo Transactions [Member] |
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Subsequent Event [Line Items] |
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Debt instrument face amount |
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$ 2,003,097
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Subsequent Event [Member] | Unsecured Convertible Note [Member] | Indigo Capital LLC [Member] | April Two Thousand and Twenty Five Indigo Transactions [Member] |
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Subsequent Event [Line Items] |
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Debt instrument face amount |
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$ 2,108,523.16
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Debt instrument, maturity date |
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Apr. 21, 2026
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Debt instrument conversion, threshold days prior to conversion date | Days |
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5
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Subsequent Event [Member] | Securities Purchase Agreement [Member] | 1800 Diagonal Lending LLC [Member] | May 2025 Financing Transactions [Member] |
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Subsequent Event [Line Items] |
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Capital infusion amount |
$ 188,000
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Debt instrument face amount |
$ 227,700
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Debt instrument, interest rate |
10.00%
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Debt instrument, maturity date |
Feb. 28, 2026
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Debt instrument conversion, percentage of discount to the lowest trading price |
25.00%
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Debt instrument conversion, threshold days prior to conversion date | Days |
10
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Subsequent Event [Member] | Securities Purchase Agreement [Member] | Boot Capital LLC [Member] | May 2025 Financing Transactions [Member] |
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Subsequent Event [Line Items] |
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Capital infusion amount |
$ 94,000
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Debt instrument face amount |
$ 110,000
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Debt instrument, interest rate |
10.00%
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Debt instrument conversion, percentage of discount to the lowest trading price |
25.00%
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Debt instrument conversion, threshold days prior to conversion date | Days |
10
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Subsequent Event [Member] | Maximum [Member] | Securities Purchase Agreement [Member] | 1800 Diagonal Lending LLC [Member] | May 2025 Financing Transactions [Member] |
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Subsequent Event [Line Items] |
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Long term debt maturities, next twelve months |
$ 2,275,000
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Subsequent Event [Member] | Minimum [Member] |
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Subsequent Event [Line Items] |
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Total Stockholders' Deficit |
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$ 2,000,000
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