v3.25.2
Subsequent Events (Details) - USD ($)
2 Months Ended 12 Months Ended
Aug. 28, 2025
Mar. 20, 2025
Jun. 25, 2024
Nov. 30, 2024
Dec. 31, 2024
Mar. 19, 2025
Jul. 03, 2024
Dec. 31, 2023
Nov. 21, 2023
Subsequent Events                  
Conversion price of debt         $ 2     $ 2  
Equity Line of Credit                  
Subsequent Events                  
Proceeds from convertible debt       $ 760,000 $ 760,000        
Quantum Convertible Note                  
Subsequent Events                  
Aggregate principal amount         $ 3,000,000       $ 3,000,000
Unamortized debt discount     $ 210,000            
Debt instrument interest rate (in percentage)     12.00%            
Conversion price of debt     $ 10       $ 3.2    
Default interest rate (in percent)     18.00%            
Proceeds from convertible debt     $ 2,700,000            
Subsequent Events | Secured promissory note issued on March 20, 2025                  
Subsequent Events                  
Proceeds from debt   $ 500,000              
Aggregate principal amount   555,556              
Unamortized debt discount   $ 55,556              
Debt instrument interest rate (in percentage)   5.00%              
Minimum interest to be paid upon issuance of debt   $ 27,778              
Default interest rate (in percent)   24.00%              
Subsequent Events | Convertible promissory note issued on March 20, 2025                  
Subsequent Events                  
Proceeds from debt   $ 100,000              
Aggregate principal amount   108,696              
Unamortized debt discount   $ 8,696              
Debt instrument interest rate (in percentage)   18.00%              
Term of interest to be paid upon issuance of debt   6 months              
Minimum interest to be paid upon issuance of debt   $ 9,800              
Term for conversion of debt after issuance of debt   3 months              
Percentage of effective price per share for conversion of debt in qualified financing   75.00%              
Default interest rate (in percent)   28.00%              
Prepayment penalty rate (in percent)   10.00%              
Prepayment penalty rate in case of default (in percent)   115.00%              
Subsequent Events | Convertible promissory note issued on March 20, 2025 | Minimum                  
Subsequent Events                  
Conversion price of debt   $ 2              
Subsequent Events | Equity Line of Credit                  
Subsequent Events                  
Conversion price of debt   $ 1.25       $ 2      
Subsequent Events | Quantum Convertible Note                  
Subsequent Events                  
Proceeds from convertible debt $ 380,000                
Subsequent Events | Quantum Convertible Note | M2B                  
Subsequent Events                  
Equity kicker, shares issued 500,000