v3.26.1
UNSECURED CONVERTIBLE NOTES (Tables)
12 Months Ended
Dec. 31, 2025
Unsecured Convertible Notes  
SCHEDULE OF LONG-TERM DEBT INSTRUMENTS

   December 31, 2025   December 31, 2024 
2024 unsecured convertible note, 4% coupon, due December 2025  $   $4,050 
Unsecured convertible note, 4% coupon, due June 2026*        
Unsecured convertible note, 4% coupon, due July 2026**   3,148     
Unsecured convertible note, 4% coupon, due October 2026***   1,082     
Less current portion   (4,230)   (4,050)
Total unsecured convertible note, long term  $   $ 

 

  * Represents the Second Tranche Note (as described in this Note 10)
  ** Represents the Third Tranche Note (as described in this Note 10)
  *** Represents the Fourth Tranche Note (as described in this Note 10)