v3.26.1
SCHEDULE OF CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY (Details) - USD ($)
3 Months Ended 6 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Dec. 31, 2024
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance $ 38,059,812 $ 38,484,929 $ 37,316,270
Shares issued for private placement   415,000 904,000
Share issued for previously committed private placement  
Shares issued to service provider     1,675,048
Shares issued for previously committed issued to service provider  
Shares issued for previously committed issued to employee  
Shares issued to employee     245,315
Shares to be issued for private placement  
Shares to be issued to service provider    
Shares issued to service provider     745,048
Shares to be issued to employee    
Share based compensation to employee   92,331 92,044
Balance 38,003,885 37,816,163 38,484,929
Common Stock [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance $ 1,294,224 $ 1,249,280 $ 1,221,346
Balance, shares 1,294,224,767 1,249,280,892 1,221,346,586
Shares issued for private placement   $ 4,089 $ 9,302
Shares issued for private placement, shares   4,088,888 9,302,214
Share issued for previously committed private placement  
Share issued for previously committed private placement, shares  
Shares issued to service provider     $ 7,356
Shares issued to service provider, shares     7,356,550
Shares issued for previously committed issued to service provider  
Shares issued for previously committed issued to service provider, shares  
Shares issued for previously committed issued to employee  
Shares issued for previously committed issued to service provider, shares  
Shares issued to employee     $ 2,070
Shares issued to employee, shares 1,122,624   2,070,000
Shares to be issued for private placement  
Shares to be issued for private placement, shares  
Shares to be issued to service provider    
Shares to be issued to service provider, shares    
Shares issued to service provider     $ 4,656
Shares issued to service provider, shares     4,565,550
Shares to be issued to employee    
Shares to be issued to employee, shares    
Share based compensation to employee  
Share based compensation to employee, shares    
Balance $ 1,302,942 $ 1,253,169 $ 1,249,280
Balance, shares 1,302,942,407 1,253,169,780 1,249,280,892
Common Stock To Be Issued [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance  
Shares issued for private placement  
Share issued for previously committed private placement  
Shares issued to service provider    
Shares issued for previously committed issued to service provider  
Shares issued for previously committed issued to employee  
Shares issued to employee    
Shares to be issued for private placement  
Shares to be issued to service provider    
Shares issued to service provider    
Shares to be issued to employee    
Share based compensation to employee  
Balance  
Common Stock To Be Cancelled [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance  
Shares issued for private placement  
Share issued for previously committed private placement  
Shares issued to service provider    
Shares issued for previously committed issued to service provider  
Shares issued for previously committed issued to employee  
Shares issued to employee    
Shares to be issued for private placement  
Shares to be issued to service provider    
Shares issued to service provider    
Shares to be issued to employee    
Share based compensation to employee  
Balance  
Deferred Compensation, Share-Based Payments [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance  
Shares issued for private placement  
Share issued for previously committed private placement  
Shares issued to service provider    
Shares issued for previously committed issued to service provider  
Shares issued for previously committed issued to employee  
Shares issued to employee    
Shares to be issued for private placement  
Shares to be issued to service provider    
Shares issued to service provider    
Shares to be issued to employee    
Share based compensation to employee  
Balance  
Additional Paid-in Capital [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance $ 57,090,906 53,166,395 49,647,034
Shares issued for private placement   410,911 894,698
Share issued for previously committed private placement  
Shares issued to service provider     1,667,692
Shares issued for previously committed issued to service provider  
Shares issued for previously committed issued to employee  
Shares issued to employee     243,245
Shares to be issued for private placement  
Shares to be issued to service provider    
Shares issued to service provider     740,392
Shares to be issued to employee    
Share based compensation to employee   92,331 92,044
Balance $ 57,553,229 53,649,837 53,166,395
Previously Reported [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   37,958,212 37,591,140
Shares issued for private placement   390,000 584,000
Share issued for previously committed private placement  
Shares issued to service provider     790,809
Shares issued for previously committed issued to service provider   745,048
Shares issued for previously committed issued to employee  
Shares issued to employee     410,731
Shares to be issued for private placement   25,000 320,000
Shares to be issued to service provider    
Shares to be issued to employee     9,280
Share based compensation to employee  
Balance   37,942,163 37,958,212
Previously Reported [Member] | Common Stock [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   $ 1,241,296 $ 1,199,358
Balance, shares   1,249,280,892 1,222,245,276
Shares issued for private placement   $ 3,906 $ 6,024
Shares issued for private placement, shares   3,905,555 6,024,439
Share issued for previously committed private placement   $ 3,278 $ 21,988
Share issued for previously committed private placement, shares  
Shares issued to service provider     $ 2,303
Shares issued to service provider, shares     2,302,890
Shares issued for previously committed issued to service provider   $ 4,656 $ 397
Shares issued for previously committed issued to service provider, shares  
Shares issued for previously committed issued to employee   $ 50 $ 502
Shares issued for previously committed issued to service provider, shares  
Shares issued to employee     $ 1,518
Shares issued to employee, shares     1,518,420
Shares to be issued for private placement  
Shares to be issued for private placement, shares   183,333 3,277,775
Shares to be issued to service provider    
Shares to be issued to service provider, shares     4,656,550
Shares to be issued to employee    
Shares to be issued to employee, shares     50,000
Share based compensation to employee  
Share based compensation to employee, shares    
Balance   $ 1,252,986 $ 1,241,296
Balance, shares   1,253,169,780 1,249,280,892
Previously Reported [Member] | Common Stock To Be Issued [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   $ 7,984 $ 22,887
Shares issued for private placement  
Share issued for previously committed private placement   (3,278) (21,988)
Shares issued to service provider    
Shares issued for previously committed issued to service provider   (4,656) (397)
Shares issued for previously committed issued to employee   (50) (502)
Shares issued to employee    
Shares to be issued for private placement   183 3,278
Shares to be issued to service provider     4,656
Shares to be issued to employee     50
Share based compensation to employee  
Balance   183 7,984
Previously Reported [Member] | Common Stock To Be Cancelled [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   (375) (375)
Shares issued for private placement  
Share issued for previously committed private placement  
Shares issued to service provider    
Shares issued for previously committed issued to service provider  
Shares issued for previously committed issued to employee  
Shares issued to employee    
Shares to be issued for private placement  
Shares to be issued to service provider    
Shares to be issued to employee    
Share based compensation to employee  
Balance   (375) (375)
Previously Reported [Member] | Deferred Compensation, Share-Based Payments [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   (745,048)
Shares issued for private placement  
Share issued for previously committed private placement  
Shares issued to service provider    
Shares issued for previously committed issued to service provider   745,048
Shares issued for previously committed issued to employee  
Shares issued to employee    
Shares to be issued for private placement  
Shares to be issued to service provider     (745,048)
Shares to be issued to employee    
Share based compensation to employee  
Balance   (745,048)
Previously Reported [Member] | Additional Paid-in Capital [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   53,385,101 49,921,380
Shares issued for private placement   386,094 577,976
Share issued for previously committed private placement  
Shares issued to service provider     788,506
Shares issued for previously committed issued to service provider  
Shares issued for previously committed issued to employee  
Shares issued to employee     409,213
Shares to be issued for private placement   24,817 316,722
Shares to be issued to service provider     740,392
Shares to be issued to employee     9,230
Share based compensation to employee  
Balance   53,776,212 53,385,101
Revision of Prior Period, Adjustment [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   526,717 (274,870)
Shares issued for private placement   25,000 320,000
Share issued for previously committed private placement  
Shares issued to service provider     884,239
Shares issued for previously committed issued to service provider   (745,048)
Shares issued for previously committed issued to employee  
Shares issued to employee     (165,416)
Shares to be issued for private placement   (25,000) (320,000)
Shares to be issued to service provider    
Shares to be issued to employee     (9,280)
Share based compensation to employee   92,331 92,044
Balance   (126,000) 526,717
Revision of Prior Period, Adjustment [Member] | Common Stock [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   $ 7,984 $ 21,988
Balance, shares   (898,690)
Shares issued for private placement   $ 183 $ 3,278
Shares issued for private placement, shares   183,333 3,277,775
Share issued for previously committed private placement   $ (3,278) $ (21,988)
Share issued for previously committed private placement, shares  
Shares issued to service provider     $ 5,053
Shares issued to service provider, shares     5,053,660
Shares issued for previously committed issued to service provider   $ (4,656) $ (397)
Shares issued for previously committed issued to service provider, shares  
Shares issued for previously committed issued to employee   $ (50) $ (502)
Shares issued for previously committed issued to service provider, shares  
Shares issued to employee     $ 552
Shares issued to employee, shares     551,580
Shares to be issued for private placement  
Shares to be issued for private placement, shares   (183,333) (3,277,775)
Shares to be issued to service provider    
Shares to be issued to service provider, shares     (4,656,550)
Shares to be issued to employee    
Shares to be issued to employee, shares     (50,000)
Share based compensation to employee  
Share based compensation to employee, shares    
Balance   $ 183 $ 7,984
Balance, shares  
Revision of Prior Period, Adjustment [Member] | Common Stock To Be Issued [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   $ (7,984) $ (22,887)
Shares issued for private placement  
Share issued for previously committed private placement   3,278 21,988
Shares issued to service provider    
Shares issued for previously committed issued to service provider   4,656 397
Shares issued for previously committed issued to employee   50 502
Shares issued to employee    
Shares to be issued for private placement   (183) (3,278)
Shares to be issued to service provider     (4,656)
Shares to be issued to employee     (50)
Share based compensation to employee  
Balance   (183) (7,984)
Revision of Prior Period, Adjustment [Member] | Common Stock To Be Cancelled [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   375 375
Shares issued for private placement  
Share issued for previously committed private placement  
Shares issued to service provider    
Shares issued for previously committed issued to service provider  
Shares issued for previously committed issued to employee  
Shares issued to employee    
Shares to be issued for private placement  
Shares to be issued to service provider    
Shares to be issued to employee    
Share based compensation to employee  
Balance   375 375
Revision of Prior Period, Adjustment [Member] | Deferred Compensation, Share-Based Payments [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   745,048
Shares issued for private placement  
Share issued for previously committed private placement  
Shares issued to service provider    
Shares issued for previously committed issued to service provider   (745,048)
Shares issued for previously committed issued to employee  
Shares issued to employee    
Shares to be issued for private placement  
Shares to be issued to service provider     745,048
Shares to be issued to employee    
Share based compensation to employee  
Balance   745,048
Revision of Prior Period, Adjustment [Member] | Additional Paid-in Capital [Member]      
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Balance   (218,706) (274,346)
Shares issued for private placement   24,817 316,722
Share issued for previously committed private placement  
Shares issued to service provider     879,186
Shares issued for previously committed issued to service provider  
Shares issued for previously committed issued to employee  
Shares issued to employee     (165,968)
Shares to be issued for private placement   (24,817) (316,722)
Shares to be issued to service provider     (740,392)
Shares to be issued to employee     (9,230)
Share based compensation to employee   92,331 92,044
Balance   $ (126,375) $ (218,706)