v3.25.3
Condensed Consolidated Statements of Changes in Stockholders’ Deficit - USD ($)
Ordinary Shares
Perviously Reported
Ordinary Shares
Retroactive application of Business Combination
Ordinary Shares
Additional Paid- In Capital
Perviously Reported
Additional Paid- In Capital
Retroactive application of Business Combination
Additional Paid- In Capital
Accumulated Deficit
Perviously Reported
Accumulated Deficit
Retroactive application of Business Combination
Accumulated Deficit
Subscription Receivable
Perviously Reported
Subscription Receivable
Retroactive application of Business Combination
Subscription Receivable
Other Comprehensive Income
Perviously Reported
Other Comprehensive Income
Retroactive application of Business Combination
Other Comprehensive Income
Perviously Reported
Retroactive application of Business Combination
Total
Balance at Dec. 31, 2023 $ 899 $ 899 $ (899) $ (899) $ (334,678) $ (334,678)       $ (334,678) $ (334,678)
Balance (in Shares) at Dec. 31, 2023 8,990,123   8,990,123                              
Currency translation adjustment                       (16,818)      
Net loss             (4,405,065)                 (4,405,065)
Balance at Jun. 30, 2024     $ 899     (899)     (4,739,743)           (16,818)     (4,756,561)
Balance (in Shares) at Jun. 30, 2024     8,990,123                              
Balance at Dec. 31, 2024 $ 978 $ 978 $ 3,717,940 $ (978) 3,716,962 $ (11,972,315) (11,972,315) $ (42,511) (42,511) $ (8,296,926) $ (8,296,926)
Balance (in Shares) at Dec. 31, 2024 108,746,245 (98,969,824) 9,776,421                             9,776,421
Issuance of ordinary shares     $ 111     4,851,112         (1,980,727)         $ 2,870,496
Issuance of ordinary shares (in Shares)     1,117,798                              
Conversion of convertible notes     $ 56     2,472,792                 2,472,848
Conversion of convertible notes (in Shares)     555,781                              
Issuance of shares in business combination     $ 875     (4,001,448)                 (4,000,573)
Issuance of shares in business combination (in Shares)     8,750,186                              
Conversion of preference shares     $ 1,219     (1,219)                
Conversion of preference shares (in Shares)     12,185,000                              
Issuance of ordinary shares for services     $ 43     (43)                
Issuance of ordinary shares for services (in Shares)     432,891                              
Currency translation adjustment                     258,986     258,986
Net loss             (7,835,939)             (7,835,939)
Balance at Jun. 30, 2025     $ 3,282     $ 7,038,156     $ (19,808,254)     $ (1,980,727)     $ 216,435     $ (14,531,108)
Balance (in Shares) at Jun. 30, 2025     32,818,077                             9,776,421