Convertible Debt - Schedule of Convertible Debt Payable (Details) - Convertible Notes Payable [Member] - USD ($) |
3 Months Ended | |||||
|---|---|---|---|---|---|---|
Mar. 31, 2026 |
Dec. 31, 2025 |
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| Cavalry Fund I LP [Member] | ||||||
| Schedule of Convertible Debt Payable [Line Items] | ||||||
| Interest Rate | [1] | 18.00% | ||||
| Maturity date | [2] | Matured | ||||
| Principal | $ 819,371 | |||||
| Accrued Interest | 154,063 | |||||
| Unamortized debt discount | ||||||
| Amount, net | $ 973,434 | $ 936,563 | ||||
| Mercer Street Global Opportunity Fund, LLC [Member] | ||||||
| Schedule of Convertible Debt Payable [Line Items] | ||||||
| Interest Rate | [1] | 18.00% | ||||
| Maturity date | [2] | Matured | ||||
| Principal | $ 1,042,701 | |||||
| Accrued Interest | 207,027 | |||||
| Unamortized debt discount | ||||||
| Amount, net | $ 1,249,728 | 1,202,806 | ||||
| 2023, 2024 and 2025 convertible notes [Member] | ||||||
| Schedule of Convertible Debt Payable [Line Items] | ||||||
| Maturity date | [2] | Matured to March 19, 2027 | ||||
| Principal | $ 3,227,019 | |||||
| Accrued Interest | 476,348 | |||||
| Unamortized debt discount | (191,847) | |||||
| Amount, net | 3,511,520 | 3,217,255 | ||||
| Total convertible notes payable [Member] | ||||||
| Schedule of Convertible Debt Payable [Line Items] | ||||||
| Principal | 5,089,091 | |||||
| Accrued Interest | 837,438 | |||||
| Unamortized debt discount | (191,847) | |||||
| Amount, net | $ 5,734,682 | $ 5,356,624 | ||||
| Minimum [Member] | 2023, 2024 and 2025 convertible notes [Member] | ||||||
| Schedule of Convertible Debt Payable [Line Items] | ||||||
| Interest Rate | 8.00% | |||||
| Maximum [Member] | 2023, 2024 and 2025 convertible notes [Member] | ||||||
| Schedule of Convertible Debt Payable [Line Items] | ||||||
| Interest Rate | 12.00% | |||||
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