v3.26.1
Management's Liquidity Plans (Details) - USD ($)
3 Months Ended
May 13, 2026
May 07, 2026
Mar. 31, 2026
Mar. 31, 2025
Dec. 31, 2025
Management's Liquidity Plans          
Cash and cash equivalents     $ 7,380,922   $ 6,443,467
Working capital     4,300,000    
Net income (loss)     8,840,550 $ (3,483,533)  
Cash used in operating activities     $ 4,196,652 $ 4,442,846  
Common stock, shares issued     11,428,482   8,762,329
Digital assets     $ 25,422,127   $ 16,345,347
May 2026 public equity issuance          
Management's Liquidity Plans          
Net proceeds from At-the-Market Offering Program   $ 8,700,000      
May 2026 public equity issuance | Subsequent Events          
Management's Liquidity Plans          
Number of common shares issued 416,666 2,777,778      
Net proceeds from At-the-Market Offering Program   $ 8,700,000      
Option exercise period 30 days        
Common stock, shares issued 132,249        
Proceeds from Issuance of Common Stock $ 400,000        
Kinetiq and Pier Two          
Management's Liquidity Plans          
Digital assets     $ 22,300,000    
Temporary use agreement, threshold notice of nonrenewal     90 days    
HYPE digital assets          
Management's Liquidity Plans          
Digital assets     $ 25,286,164    
Number of days in unstaking que     7 days    
HYPE digital assets | Kinetiq and Pier Two          
Management's Liquidity Plans          
Digital assets     $ 366,200    
HYPE LSTs          
Management's Liquidity Plans          
Digital assets     $ 14,100,000    
Number of days in unstaking que     7 days