v3.26.1
DISCONTINUED OPERATIONS (Details 2) - USD ($)
1 Months Ended
Dec. 26, 2025
Dec. 31, 2025
Dec. 31, 2024
Cash and cash equivalents   $ 0 $ 403,031
Operating lease liabilities, non-current   $ 0 $ 165,921
Gain on Disposal of Subsidiaries [Member] | ReElement Technologies, Inc. (RLMT) [Member]      
Cash and cash equivalents $ 1,928,613    
Receivables 66,558    
Inventories 746,462    
Prepaid expenses and other current assets 2,162,083    
Restricted cash 4,619    
Restricted investments 151,018,849    
Property and equipment, net 12,557,474    
Right of use assets, net 619,162    
Finance - right of use asset, net - related party 12,794,589    
Trade payables (946,700)    
Non-trade payables (423,661)    
Accounts payable - related party (7,976,403)    
Accrued expenses (34,042)    
Accrued interest (2,493,150)    
Other current liabilities (41,200)    
Operating lease liabilities, current (140,223)    
Finance lease - related party, current (1,848,416)    
Other financing obligations, current (1,048,026)    
Bond payable, net (149,740,263)    
Other financing obligations, net of current portion (1,929,746)    
Operating lease liabilities, non-current (524,652)    
Finance lease - related party, non-current (14,631,297)    
Net carrying amount derecognized 120,630    
Recognition of investment in ReElement Technologies, Inc. 28,263,735    
Gain on disposal of subsidiaries $ 28,143,105