v3.26.1
Derivative Assets and Liabilities - Schedule of Derivatives and Reconciles the Fair Value Measurement (Details) - Level 2 [Member] - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Derivative Liabilities [Member] | Bitcoin redemption options [Member]    
Schedule of Derivatives and Reconciles the Fair Value Measurement [Line Items]    
Balance as of January 1, $ (128)  
Initial recognition  
Purchases 64,965  
Settlement (99,256)  
Remeasurement recognized in statement of operations 31,497  
Balance as of period end (2,922) $ (128)
Derivative Liabilities [Member] | Bitcoin option and selling contracts [Member]    
Schedule of Derivatives and Reconciles the Fair Value Measurement [Line Items]    
Balance as of January 1, (128)
Initial recognition  
Purchases   351
Settlement   (358)
Remeasurement recognized in statement of operations   (121)
Balance as of period end   (128)
Derivative Assets [Member] | Bitcoin redemption options [Member]    
Schedule of Derivatives and Reconciles the Fair Value Measurement [Line Items]    
Balance as of January 1, 3,418
Initial recognition   1,349
Purchases  
Settlement  
Remeasurement recognized in statement of operations   2,069
Balance as of period end   3,418
Total derivative assets   3,418
Total long-term derivative assets  
Total derivative liabilities   (128)
Derivative Assets [Member] | Capped call transactions [Member]    
Schedule of Derivatives and Reconciles the Fair Value Measurement [Line Items]    
Balance as of January 1,  
Initial recognition 69,090  
Purchases  
Settlement  
Remeasurement recognized in statement of operations (63,890)  
Balance as of period end 5,200
Total derivative assets 2,287  
Total long-term derivative assets 5,200  
Total derivative liabilities (2,922)  
Derivative Assets [Member] | Bitcoin redemption options [Member]    
Schedule of Derivatives and Reconciles the Fair Value Measurement [Line Items]    
Balance as of January 1, 3,418  
Initial recognition 1,072  
Purchases  
Settlement  
Remeasurement recognized in statement of operations (4,490)  
Balance as of period end 3,418
Derivative Assets [Member] | Bitcoin option and selling contracts [Member]    
Schedule of Derivatives and Reconciles the Fair Value Measurement [Line Items]    
Balance as of January 1, 1,281
Initial recognition
Purchases 89,478 13,610
Settlement (73,659) (30,762)
Remeasurement recognized in statement of operations (13,532) 15,871
Balance as of period end $ 2,287