Reverse Recapitalization - Schedule of Reverse Recapitalization (Details) - Reverse Recapitalization [Member] |
6 Months Ended |
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Jun. 30, 2025
USD ($)
| |
Schedule of Reverse Recapitalization [Line Items] | |
Funds held in Lakeshore’s trust account | $ 15,067,702 |
Funds held in Lakeshore’s operating cash account | 198 |
Less: amount paid to redeem public shares of Lakeshore’s ordinary shares | (13,947,723) |
Proceeds from the reverse recapitalization | 1,120,177 |
Less: payments of transaction costs incurred by Lakeshore | (1,044,980) |
Less: repayments of promissory note – related party of Lakeshore’ | (75,000) |
Less: notes assumed from Lakeshore | (555,000) |
Less: liability assumed from Lakeshore | (1,547,814) |
Less: transaction costs paid by NMI | (1,230,857) |
Add: receivable assumed from Lakeshore | 500,000 |
Net liabilities assumed from issuance of common stock upon the Merger, balance classified to retained deficit | $ (2,833,474) |