v3.25.2
Business Combination - Schedule of Reverse Recapitalization (Details) - USD ($)
6 Months Ended
Mar. 04, 2024
Jun. 30, 2025
Jun. 30, 2024
Reverse Recapitalization [Abstract]      
Cash in GigCapital5 Trust Account, net of redemptions $ 13,952,525    
Plus: cash in GigCapital5 operating bank account 4,829    
Less: Payments made pursuant to non-redemption agreements (10,791,550)    
Less: GigCapital5 transaction costs paid from Trust (1,073,667)    
Less: Repayment of GigCapital5 related party notes (853,607)    
Proceeds from the Merger, net of transaction costs 1,238,530 $ 0 $ 1,238,530
Assumed net liabilities from GigCapital5, including the initial recognition of the earnout liability, excluding net cash proceeds (14,177,695)    
Net impact of the Merger on the condensed consolidated statement of stockholders' deficit $ (12,939,165)