Recapitalization - Schedule of Business Combination of Cash Flows and Stockholders Equity (Details) $ in Thousands |
12 Months Ended |
|---|---|
|
Dec. 31, 2025
USD ($)
| |
| Business Combination [Abstract] | |
| Cash-Trust Account, net of redemptions | $ 1,276 |
| Less: transaction costs and professional fees, paid directly from Trust Account | 1,274 |
| Net proceeds received from Trust | 2 |
| Less: private and representative warrant liabilities | (1,193) |
| Less: related party notes | (41) |
| Less: related party notes - working capital loan | (2,162) |
| Less: excise tax payable | (1,953) |
| Less: accounts payable and accrued expenses | (3,053) |
| Reverse recapitalization, net | $ (8,400) |