v3.26.1
Commitments and Contingencies - Additional Information (Detail) - USD ($)
1 Months Ended 3 Months Ended 5 Months Ended 12 Months Ended
Nov. 08, 2023
Nov. 02, 2022
Jul. 19, 2022
Jan. 19, 2022
Jul. 31, 2023
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2025
Dec. 31, 2024
Jan. 31, 2026
Dec. 08, 2025
Jul. 31, 2025
Jul. 08, 2025
Loss Contingencies [Line Items]                          
Common stock shares issued               1,781,738 696,969        
Accrued Royalties               $ 144,937          
Deferred Debt Issuance Cost, Writeoff             $ 958,899            
Interest Expense, Operating and Nonoperating               18,214 $ 29,446        
Accrued Expenses [Member]                          
Loss Contingencies [Line Items]                          
Accrued bonuses               668,050          
Accrued Expenses [Member] | Subsequent Event [Member]                          
Loss Contingencies [Line Items]                          
Settlement amount                   $ 120,000      
Elevai Acquisition [Member]                          
Loss Contingencies [Line Items]                          
Royalty Expense               94,937 0        
Elevai Acquisition [Member] | Accrued Expenses [Member]                          
Loss Contingencies [Line Items]                          
Accrued Royalties               94,937 0        
THPlasma Merger Agreement [Member]                          
Loss Contingencies [Line Items]                          
Termination Fee Payable                     $ 0   $ 0
Yuva License Agreement [Member]                          
Loss Contingencies [Line Items]                          
Royalty Expense               50,000 0        
Yuva License Agreement [Member] | Accrued Expenses [Member]                          
Loss Contingencies [Line Items]                          
Accrued Royalties               50,000 0        
Elevai Haircare Product [Member] | Yuva License Agreement [Member]                          
Loss Contingencies [Line Items]                          
Minimum Royalty Expense Due               $ 50,000          
January 2022 convertible notes [Member]                          
Loss Contingencies [Line Items]                          
Additional payment of principal and interest           $ 600,000              
Common stock shares issued         833     833          
Accrual for interest payable               $ 1,175,845 $ 1,175,845        
Long term debt bearing fixed interest rate percentage     10.00%                    
Long term debt fixed interest rate percentage in case of default     18.00%                    
Class of warrants or rights term       5 years                  
Long Term Debt Percentage Increase In Outstanding Principal Due To Default     25.00%                    
Percentage Of Increasing In Outstanding Principal     25.00%                    
Interest Expense, Operating and Nonoperating     $ 555,556                    
Proceeds from promissory notes-related parties         $ 2,649,874                
Interest Rate         25.00%                
Puritan [Member] | January 2022 convertible notes [Member]                          
Loss Contingencies [Line Items]                          
Alleged cash amount for repurchase of convertible note warrants               1,914,123          
Total claim amount               4,050,000          
Proceeds from loan               $ 1,000,000          
Number of freely transferrable shares withdrawn   833                      
Price per share of shares withdrawn   $ 300                      
Common Stock [Member]                          
Loss Contingencies [Line Items]                          
Common stock, shares issued during the period               748,461 44,382        
Warrants to purchase number of shares of common stock                       298,000  
Common Stock [Member] | Elevai Acquisition [Member]                          
Loss Contingencies [Line Items]                          
Common stock, shares issued during the period               38,308          
Common Stock [Member] | January 2022 convertible notes [Member]                          
Loss Contingencies [Line Items]                          
Long term debt bearing fixed interest rate percentage       10.00%                  
Long term debt fixed interest rate percentage in case of default       18.00%                  
Debt instrument monthly payment     $ 158,730                    
Debt instrument date of first required payment     Jul. 19, 2022                    
Long term debt discount percentage       10.00%                  
Long term debt commission percentage       8.00%                  
Class of warrant or right, exercise price of warrants or rights       $ 4.8                  
Convertible note warrants or rights issued during period fair value       $ 409,483                  
Pending Litigation [Member] | Breach of Obligations [Member]                          
Loss Contingencies [Line Items]                          
Litigation filed date Nov. 08, 2023                        
Litigation plaintiff name Puritan Partners LLC                        
Tranche 1 [member] | Common Stock [Member] | January 2022 convertible notes [Member]                          
Loss Contingencies [Line Items]                          
Promissory notes, net of debt discount       $ 1,111,111                  
Warrants to purchase number of shares of common stock       5,180                  
Tranche 2 [member] | Common Stock [Member] | Convertible Notes [Member]                          
Loss Contingencies [Line Items]                          
Promissory notes, net of debt discount       $ 1,111,111                  
Tranche 2 [member] | Common Stock [Member] | January 2022 convertible notes [Member]                          
Loss Contingencies [Line Items]                          
Warrants to purchase number of shares of common stock       5,180                  
Puritan Partners LLC | Convertible Notes and Convertible Note Warrants [Member] | Pending Litigation [Member] | Breach of Obligations [Member]                          
Loss Contingencies [Line Items]                          
Total claim amount $ 2,725,000                        
Number of freely tradeable shares 833