v3.25.2
Capital and Reserves (Details)
6 Months Ended 12 Months Ended
Sep. 19, 2024
USD ($)
$ / shares
shares
Dec. 31, 2023
USD ($)
$ / shares
Dec. 15, 2023
USD ($)
shares
Dec. 15, 2023
SFr / shares
shares
Dec. 07, 2023
USD ($)
Dec. 07, 2023
SFr / shares
Jul. 10, 2023
$ / shares
shares
Jul. 10, 2023
SFr / shares
shares
May 01, 2023
SFr / shares
shares
Dec. 05, 2022
USD ($)
shares
Jun. 30, 2025
USD ($)
$ / shares
shares
Jun. 30, 2024
USD ($)
shares
Dec. 31, 2024
USD ($)
shares
Dec. 31, 2023
USD ($)
$ / shares
shares
Dec. 31, 2023
USD ($)
$ / shares
SFr / shares
Jun. 15, 2024
USD ($)
Capital and Reserves [Line Items]                                
Public offering price (in Dollars per share) | $ / shares $ 0.72           $ 9                  
Exercise price | SFr / shares               SFr 8                
Gross proceeds from offering (in Dollars) | $ $ 3,991,410 $ 5,000,000                            
Prefunded warrants exercised                     883,556          
Pre-funded warrants exercised amount (in Dollars) | $                     $ 2,643,956        
Prefunded warrants outstanding                     4,295,000          
Pre-funded warrants gross proceeds (in Dollars) | $                     $ 4,000,000          
Related transaction costs (in Dollars) | $   718,767                 $ 664,618     $ 718,767 $ 718,767  
Fair value assumptions volatility                     99.60%     107.34%    
Annual risk free rate                     3.62%     4.25%    
Fair value of warrants issued (in Dollars) | $                     $ 5,573,321     $ 4,660,305    
Public offering             43,750 43,750                
Pre-funded warrants             511,806 511,806                
Warrants to purchase common shares             555,556 555,556                
Warrants granted             36,113 36,113                
Strike price (in Francs per share) | (per share)               SFr 10     $ 0.05          
Exercise period             5 years 5 years                
Conversion price (in Francs per share) | SFr / shares                             $ 8  
Issued price per share (in Francs per share) | SFr / shares       SFr 6.656                        
Fair value warrants issued (in Dollars) | $     $ 196,127                          
Common Shares [Member]                                
Capital and Reserves [Line Items]                                
Number of public offering shares 377,000                              
Purchase of common shares     81,274                          
Share issued                     5,715,472   4,662,080      
Issued price per share (in Francs per share) | SFr / shares       SFr 6.656                        
Top of Range [Member]                                
Capital and Reserves [Line Items]                                
Fair value assumptions volatility     113.40%                          
Annual risk free rate     5.40%                          
Warrants maturity     2 years                          
Bottom of Range [Member]                                
Capital and Reserves [Line Items]                                
Fair value assumptions volatility     115.00%                          
Annual risk free rate     4.70%                          
Warrants maturity     6 months                          
HCW Sales Agreement [Member]                                
Capital and Reserves [Line Items]                                
Share issued                       637,460        
Gross proceeds of shares from sales agreement (in Dollars) | $                       $ 1,660,000        
FiveT Investment Management Ltd. [Member]                                
Capital and Reserves [Line Items]                                
Purchase of common shares                 81,274              
Exercise period                 5 years              
Par value per common share | SFr / shares                 SFr 30.76              
Common shares sold                 443,294              
Average price per share (in Francs per share) | SFr / shares                 SFr 5.07              
FiveT IM [Member]                                
Capital and Reserves [Line Items]                                
Weighted average price percentage         90.00%                      
Exercise price (in Francs per share) | SFr / shares           SFr 6.656                    
FiveT IM [Member] | Common Shares [Member]                                
Capital and Reserves [Line Items]                                
Proceeds from yielding (in Dollars) | $         $ 614,896                      
Lincoln Park Capital Fund, LLC [Member]                                
Capital and Reserves [Line Items]                                
Share issued                         1,286,279      
Gross proceeds of shares from sales agreement (in Dollars) | $                         $ 1,720,930 $ 854,475    
Common shares subscribed (in Dollars) | $                   $ 10,000,000            
Sale of common stock                           17,500    
Pre-funded warrants [Member]                                
Capital and Reserves [Line Items]                                
Number of public offering shares 5,178,556                              
Pre-funded warrants exercised amount (in Dollars) | $                     $ 1,767          
Series A-1 common warrants [Member]                                
Capital and Reserves [Line Items]                                
Purchase of common shares 5,555,556                              
Exercise price | $ / shares $ 0.72                              
Series A-2 common warrants [Member]                                
Capital and Reserves [Line Items]                                
Purchase of common shares 5,555,556                              
Warrants [Member]                                
Capital and Reserves [Line Items]                                
Exercise price | $ / shares $ 0.72                              
Pre-funded warrants exercised amount (in Dollars) | $   $ 112,597                            
Share issued     81,274 81,274                        
Exercise of warrants                           555,556    
Revaluation gain from derivative financial instruments (in Dollars) | $         $ 16,768                      
Common Warrants [Member]                                
Capital and Reserves [Line Items]                                
Par value per common share | $ / shares   $ 0.72                       $ 0.72 $ 0.72  
Equity Incentive Plan [Member]                                
Capital and Reserves [Line Items]                                
Share issued                     1,053,392          
Market rate price per share (in Dollars per share) | $ / shares                     $ 0.05          
Share Premium [Member] | Bottom of Range [Member]                                
Capital and Reserves [Line Items]                                
Proportionate fair value of other reserves to share premium (in Dollars) | $                               $ 45,774
Share Premium [Member] | Lincoln Park Capital Fund, LLC [Member] | Common Shares [Member]                                
Capital and Reserves [Line Items]                                
Share issued                   2,500