v3.26.1
Segment Reporting (Details) - USD ($)
3 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Dec. 31, 2025
Revenue from External Customer [Line Items]      
Total revenues $ 4,224 $ 68,606  
Total segment operating loss (978,970) (1,658,303)  
Other income expanse 49,731 (1,845)  
Amortization of debt discount (13,446) (978,721)  
Interest income & expense (889,455) (637,345)  
Loss on inventory write off (30,078) 0  
Loss on asset write off (271,271) 0  
Change in FV of Derivative (2,980)  
Loss from continuing operations (2,136,469) (3,276,214)  
Total assets 769,953   $ 965,694
Splash Beverage Group [Member]      
Revenue from External Customer [Line Items]      
Total revenues 4,224 9,594  
Total segment operating loss (967,075) (1,380,520)  
Total assets 743,902   938,652
E Commerce [Member]      
Revenue from External Customer [Line Items]      
Total revenues 59,012  
Total segment operating loss (11,895) $ (277,783)  
Total assets 26,051   27,042
Assets Discontinued Operations [Member]      
Revenue from External Customer [Line Items]      
Total assets