v3.26.1
Commitments and Contingencies (Details Narrative) - USD ($)
12 Months Ended
Dec. 15, 2024
Dec. 04, 2024
Jun. 03, 2024
Mar. 15, 2024
Dec. 18, 2023
May 01, 2021
Sep. 15, 2016
Sep. 13, 2016
Sep. 01, 2015
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2020
Mar. 31, 2023
Jul. 19, 2022
Dec. 01, 2021
Product Liability Contingency [Line Items]                              
Convertible promissory note                   $ 5,298,068        
Operating lease term           61 months                  
Base rent           $ 3,783                  
Operating lease yearly escalation percentage           3.00%                  
Operating lease right-of-use asset, net                   23,214 69,642        
Operating lease liability                   $ 21,247 $ 71,329        
Operating lease incremetal borrowing rate                   0.81% 0.81%        
Operating leases rent expenses                   $ 16,972 $ 17,740        
Prepaid expense                   766,667 766,667        
Prepaid contracts expense                   766,667 54,612        
Cash                   3,789,342 3,769,510        
Employee Benefits and Share-Based Compensation                   1,546,117 893,781        
Share based compensation                     114,373        
Share based compensation       $ 50,000           $ 2,418,516 $ 1,840,908        
Sale of Stock, Price Per Share                   $ 1.11          
Common Stock [Member]                              
Product Liability Contingency [Line Items]                              
Number of restricted shares issued                     3,487,500        
Purchase of common stock                     112,500        
Sale of Stock, Price Per Share                     $ 4.00        
Common Stock [Member] | IPO [Member]                              
Product Liability Contingency [Line Items]                              
Number of restricted shares issued     3,487,500                        
Purchase of common stock     37,500                        
Entity Three [Member] | Common Stock [Member] | IPO [Member]                              
Product Liability Contingency [Line Items]                              
Number of restricted shares issued     1,162,500                        
Service Agreements [Member]                              
Product Liability Contingency [Line Items]                              
Agreements term     36 months                        
Employee Benefits and Share-Based Compensation                     $ 779,411        
Share based compensation                   $ 2,198,474          
Share based compensation                   $ 1,546,117 893,784        
Service Agreements [Member] | Common Stock [Member]                              
Product Liability Contingency [Line Items]                              
Purchase of common stock     37,500                        
Sale of Stock, Price Per Share     $ 1.33                        
Service Agreements [Member] | Entity Three [Member] | Common Stock [Member]                              
Product Liability Contingency [Line Items]                              
Number of restricted shares issued     1,162,500                        
Service Agreements [Member] | Tiberend Strategic Advisors [Member]                              
Product Liability Contingency [Line Items]                              
Non-payment amount                           $ 130,400  
Convertible promissory note                         $ 150,000    
Consulting Agreements [Member]                              
Product Liability Contingency [Line Items]                              
Agreements term                   2 years          
Dominant Treasure Agreement [Member]                              
Product Liability Contingency [Line Items]                              
Agreements term 36 months                            
Payment for services $ 2,300,000                            
Success fee percentage 5.00%                            
Royalty payments percentage 5.00%                            
Prepaid expense $ 2,300,000                            
Executive Employment Agreements [Member]                              
Product Liability Contingency [Line Items]                              
Salary payment description   the base salaries was adjusted to 105% of the original base salaries and the Company started paying a 100% of the salaries.     On December 18, 2023, various employees agreed to reduce their annual base salary to 20% of their original base salary effective October 1, 2023 until the time the Company raises additional capital from securities in the amount of $1,500,000 (the “Reduction Period”). Upon the expiration of the Reduction Period, the bases salaries shall adjust to be 105% of their original base salary as set forth in their original agreements.             the Company began consistently paying salaries at 50% of the salaries reflected in the respective employment agreements. As of September 2021, the Company began paying full salaries. Throughout 2022, the Company returned to paying partial salaries and by October 2023 the company stopped paying 100% in an effort to conserve cash.      
License Agreements [Member] | Aquanova AG [Member]                              
Product Liability Contingency [Line Items]                              
Royalty payments percentage             1.25%                
[custom:LicenseFee]               $ 75,000              
Accrued license fees                   $ 0 $ 75,000        
Royalty amount             $ 3,000,000                
License Agreements [Member] | Aquanova AG [Member] | JAPAN | Minimum [Member]                              
Product Liability Contingency [Line Items]                              
Other Commitment               200,000              
License Agreements [Member] | Aquanova AG [Member] | JAPAN | Maximum [Member]                              
Product Liability Contingency [Line Items]                              
Other Commitment               $ 600,000              
Licensing And Royalty Agreements [Member]                              
Product Liability Contingency [Line Items]                              
Royalty payments percentage               5.00%              
Debt Forgiveness and Exchange Agreement [Member] | Aquanova AG [Member]                              
Product Liability Contingency [Line Items]                              
Accrued license fees                   $ 0          
Accrued and outstanding obligations                             $ 225,000
Cash                             125,000
Promissory note                             $ 100,000
License Agreements II [Member] | Murdoch Childrens Research Institute [Member]                              
Product Liability Contingency [Line Items]                              
Royalty payments percentage                 1.50%            
License Agreements II [Member] | Murdoch Childrens Research Institute [Member] | JAPAN | Minimum [Member]                              
Product Liability Contingency [Line Items]                              
Other Commitment                 $ 100,000            
License Agreements II [Member] | Murdoch Childrens Research Institute [Member] | JAPAN | Maximum [Member]                              
Product Liability Contingency [Line Items]                              
Other Commitment                 $ 300,000