v3.26.1
Consolidated Statements of Changes in Shareholders' Equity - USD ($)
Common Stock [Member]
Additional Paid-in Capital [Member]
Subscription Receivable [Member]
Obligation to Issue Shares [Member]
Retained Earnings [Member]
AOCI Attributable to Parent [Member]
Total
Balance at Dec. 31, 2023 $ 49,828,942 $ 3,472,444 $ 97,094 $ (44,507,304) $ (326,596) $ 8,564,580
Balance, shares at Dec. 31, 2023 [1] 6,490            
Shares issued for conversion of convertible debt $ 11,469,407 11,469,407
Shares issued for conversion of convertible debt, shares [1] 99,443            
Shares issued for cash at the market, net of issuance costs $ 2,775,616 2,775,616
Shares issued for cash at the market, net of issuance costs, shares [1] 59,651            
Shares issued for compensation, vested $ 115,639 (52,880) 62,759
Shares issued for compensation, vested, shares [1] 950            
Shares issued for consulting services, vested $ 27,624 27,624
Shares issued for consulting services, vested, shares [1] 158            
Shares issued for business combination $ 295,000 295,000
Shares issued for business combination, shares [1] 5,556            
Shares issued on conversion of vested pre-funded warrants $ 530,429 (530,429)
Shares issued on conversion of vested pre-funded warrants, shares [1] 7            
Share-based compensation 22,780 22,780
Net loss (16,274,815) (16,274,815)
Foreign currency translation (831,698) (831,698)
Balance at Dec. 31, 2024 $ 65,042,657 2,964,795 44,214 (60,782,119) (1,158,294) 6,111,253
Balance, shares at Dec. 31, 2024 [1] 172,255            
Shares issued for conversion of convertible debt $ 16,186,143 16,186,143
Shares issued for conversion of convertible debt, shares [1] 2,784,169            
Shares issued for cash at the market, net of issuance costs $ 1,447,737 1,447,737
Shares issued for cash at the market, net of issuance costs, shares [1] 494,390            
Shares issued for compensation, vested $ 1,795,671 1,795,671
Shares issued for compensation, vested, shares [1] 804,445            
Shares issued for consulting services, vested $ 228,969 228,969
Shares issued for consulting services, vested, shares [1] 935,641            
Net loss (33,195,206) (33,195,206)
Foreign currency translation 37,157 37,157
Shares issued in the offering, net of issuance costs $ 198,449,318 198,449,318
Shares issued in the offering, net of issuance costs, shares [1] 87,699,328            
Reclassification of derivative liabilities to additional paid-in capital 2,771,503 2,771,503
Warrants issued with convertible debt 2,779,314 2,779,314
Warrants issued for cash 14,452,256       14,452,256
Shares issued on exercise of warrants $ 403,061 403,061
Shares issued on exercise of warrants, shares [1] 231,920            
Repurchases of shares $ (257,964) (257,964)
Repurchases of shares, shares [1] (183,346)            
Subscription receivable - digital assets (24,233,587) (24,233,587)
Balance at Dec. 31, 2025 $ 283,295,592 $ 22,967,868 $ (24,233,587) $ 44,214 $ (93,977,325) $ (1,121,137) $ 186,975,625
Balance, shares at Dec. 31, 2025 [1] 92,938,802            
[1] Reflects the 1:9 reverse stock split effected on July 28, 2025 and 1:100 reverse stock split effected on December 5, 2024. Additional information regarding the reverse stock splits may be found in Note 2, “Basis of Presentation” included in the notes to the consolidated financial statements.