v3.25.4
SCHEDULE OF SEGMENT REPORTING (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Revenue from External Customer [Line Items]        
Revenues $ 10,996,282 $ 7,881,895 $ 18,329,992 $ 16,386,672
Cost of revenues (8,883,117) (5,598,040) (12,730,164) (10,838,556)
Gross Profit: 2,113,165 2,283,855 5,599,828 5,548,116
Operating Expenses (6,764,560) (11,245,027) (14,132,730) (17,321,013)
Other Expenses 266,204 (16,284,495) (1,050,436) (11,033,706)
Deemed Dividends (51,130,572) (2,999,964) (76,528,836)
Net loss available to common shareholders (4,917,599) (43,807,249) (12,583,302) (77,268,027)
Other Expenses (266,204) 16,284,495 1,050,436 11,033,706
Scrap Metal Recycling [Member]        
Revenue from External Customer [Line Items]        
Revenues 7,110,100 5,387,899 11,507,645 11,608,284
Cost of revenues (7,381,585) (4,091,870) (9,508,357) (8,172,883)
Gross Profit: (271,485) 1,296,029 1,999,288 3,435,401
Hauling [Member]        
Revenue from External Customer [Line Items]        
Revenues 3,865,182 2,449,384 6,777,347 4,703,276
Cost of revenues (1,501,532) (1,506,170) (3,221,807) (2,665,673)
Gross Profit: 2,363,650 943,214 3,555,540 2,037,603
Other [Member]        
Revenue from External Customer [Line Items]        
Revenues 21,000 44,612 45,000 75,112
Cost of revenues
Gross Profit: $ 21,000 $ 44,612 $ 45,000 $ 75,112