v3.26.1
Restatement of Interim Financial Information (Unaudited) - Consolidated Balance Sheet (Details) - USD ($)
Dec. 31, 2025
Sep. 30, 2025
Jun. 30, 2025
Dec. 31, 2024
Sep. 30, 2024
Jun. 30, 2024
Dec. 31, 2023
Restatement of Interim Financial Information (Unaudited)              
SAFE Notes subscription receivable       $ 100,000      
Total assets $ 24,691,085 $ 30,552,544 $ 4,959,231 6,863,001      
Liabilities              
SAFE notes     15,546,127 10,783,385      
Total liabilities 2,403,972 744,302 15,647,014 10,944,822      
Total stockholders' equity (deficit) $ 22,287,113 29,808,242   (4,081,821) $ (1,311,303) $ (123,717) $ 460,262
As Previously Reported              
Restatement of Interim Financial Information (Unaudited)              
Total assets   30,524,544 4,926,231        
Liabilities              
SAFE notes     20,463,632        
Total liabilities   605,325 20,564,519        
Total stockholders' equity (deficit)   29,919,219 (15,638,288) (8,513,101) (4,559,033) (2,618,613) (630,192)
Adjustment              
Restatement of Interim Financial Information (Unaudited)              
Total assets   28,000 33,000        
Liabilities              
SAFE notes     (4,917,505)        
Total liabilities   138,977 $ (4,917,505)        
Total stockholders' equity (deficit)   $ (110,977)   $ 4,431,280 $ 3,247,730 $ 2,494,896 $ 1,090,453