Related Party - Additional Information 2 (Details)
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1 Months Ended |
12 Months Ended |
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Jun. 03, 2025
$ / shares
shares
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Apr. 28, 2025
USD ($)
$ / shares
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Jan. 29, 2025
$ / shares
shares
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Mar. 28, 2024
USD ($)
$ / shares
shares
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Jun. 30, 2025
USD ($)
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Apr. 28, 2026 |
Dec. 31, 2025
USD ($)
$ / shares
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Dec. 31, 2024
USD ($)
ft²
$ / shares
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| Related Party Transaction [Line Items] |
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| Number of stock issued | shares |
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158,694
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| Liabilities of discontinued operation |
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$ 0
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$ 15,113,553
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| Stock options granted | shares |
7,500
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11,250
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| Shares of common stock, exercise price | $ / shares |
$ 0.77
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$ 2.78
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$ 2.64
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$ 15.37
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| Share compensation, forfeited options expensed |
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$ 37,517
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| Facility in Irving, Texas [Member] |
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| Related Party Transaction [Line Items] |
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| Area of real estate property | ft² |
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20,945
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| Lessor, operating lease, renewal term |
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5 years
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| Operating lease, monthly rate |
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$ 12,425
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| Operating lease, annual escalation of payments, percent |
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3.00%
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| Liabilities of discontinued operation |
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$ 0
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$ 1,241,860
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| Operating lease, expense |
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146,896
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146,896
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| Operating lease cash payment |
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$ 143,356
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$ 132,917
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| Tranche One |
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| Related Party Transaction [Line Items] |
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| Options, vesting percentage |
60.00%
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| Tranche Two |
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| Related Party Transaction [Line Items] |
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| Options, vesting percentage |
20.00%
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| Exchange Agreement [Member] |
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| Related Party Transaction [Line Items] |
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| Principal amount |
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$ 2,500,000
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| Debt instrument maturity date |
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Aug. 23, 2025
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| Debt instrument interest rate |
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8.00%
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| Exchange Agreement [Member] | New Senior Convertible Promissory Notes [Member] |
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| Related Party Transaction [Line Items] |
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| Principal amount |
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$ 2,803,818
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| Debt instrument maturity date |
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Apr. 30, 2030
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| Debt instrument interest rate |
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6.00%
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| Debt instrument, redemption, description |
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The Convertible Notes are redeemable by the Company at any time upon ten days’ notice and at the option the holders for the principal amount thereof plus interest, beginning on January 1, 2025.
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The Convertible Notes are redeemable by the Company at any time upon ten days’ notice and at the option the holders for the principal amount thereof plus interest, beginning on January 1, 2025.
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| Debt instrument, payment terms |
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interest semiannually in arrears on May 1 and November 1 beginning on November 1, 2025. At the Company’s election, interest payable on an interest payment date may be added to the principal amount of the Convertible Notes on the applicable interest payment date and will no longer be owed to holders of the Convertible Notes.
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accrue simple interest at rates ranging from 6% to 8% per annum, payable semi-annually in arrears on May 1 and November 1, beginning November 1, 2025. At the Company’s election, accrued and unpaid interest on an interest payment date may be added to the principal amount of the applicable Convertible Note in lieu of cash payment.
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| Exchange Agreement [Member] | Convertible Notes Payable [Member] | New Senior Convertible Promissory Notes [Member] |
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| Related Party Transaction [Line Items] |
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| Principal amount |
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$ 2,563,890
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| Exchange Agreement [Member] | Unsecured Notes Payable [Member] | New Senior Convertible Promissory Notes [Member] |
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| Related Party Transaction [Line Items] |
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| Principal amount |
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$ 239,928
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| Debt instrument maturity date |
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Apr. 08, 2025
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| Debt instrument interest rate |
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6.00%
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| Maximum [Member] | Exchange Agreement [Member] |
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| Related Party Transaction [Line Items] |
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| Debt instrument interest rate |
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8.00%
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| Conversion price per share | $ / shares |
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$ 0.63
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| Minimum [Member] | Exchange Agreement [Member] |
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| Related Party Transaction [Line Items] |
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| Debt instrument interest rate |
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6.00%
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| Conversion price per share | $ / shares |
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$ 0.62
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| Private Placement [Member] |
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| Related Party Transaction [Line Items] |
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| Proceeds from issuance or sale of equity |
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$ 3,738,000
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| Number of stock issued | shares |
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515,597
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| Shares issued, price per share | $ / shares |
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$ 7.25
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