v3.26.1
CONVERTIBLE DEBT (Details) - USD ($)
1 Months Ended 3 Months Ended
May 05, 2026
Apr. 21, 2026
Dec. 31, 2024
Mar. 31, 2026
Mar. 31, 2025
Dec. 31, 2025
CONVERTIBLE DEBT            
Change in fair value of convertible debt       $ (104,238) $ (319,695)  
Payments of debt       606,335 $ 321,181  
Repayments of convertible debt       $ 502,433    
Minimum            
CONVERTIBLE DEBT            
Term       6 months    
Maximum            
CONVERTIBLE DEBT            
Term       1 year    
Carrying Amount            
CONVERTIBLE DEBT            
Convertible debt       $ 6,234,495   $ 4,599,225
Estimated Fair Value            
CONVERTIBLE DEBT            
Convertible debt       6,593,923   $ 5,321,303
2026 Convertible Notes            
CONVERTIBLE DEBT            
Principal amount       2,007,150    
Gross proceeds       $ 1,861,000    
Common stock convertible notes       1,109,421    
2026 Convertible Notes | Minimum            
CONVERTIBLE DEBT            
Interest rate (in percentage)       10.00%    
Term       210 days    
Conversion Price (in dollars per share)       $ 8    
2026 Convertible Notes | Maximum            
CONVERTIBLE DEBT            
Interest rate (in percentage)       20.00%    
Term       1 year    
Optional conversion period       210 days    
Conversion Price (in dollars per share)       $ 12.8    
2026 Convertible Notes | Vanquish and Labrys | Minimum            
CONVERTIBLE DEBT            
Interest rate (in percentage)       10.00%    
2026 Convertible Notes | Vanquish and Labrys | Maximum            
CONVERTIBLE DEBT            
Interest rate (in percentage)       14.00%    
2026 Convertible Notes | Other parties            
CONVERTIBLE DEBT            
Interest rate (in percentage)       20.00%    
2026 Convertible Notes | Carrying Amount            
CONVERTIBLE DEBT            
Convertible debt       $ 1,861,000    
2026 Convertible Notes | Estimated Fair Value            
CONVERTIBLE DEBT            
Convertible debt       $ 1,798,510    
2025 Convertible Notes | Minimum            
CONVERTIBLE DEBT            
Term       210 days    
SEPA Convertible Note            
CONVERTIBLE DEBT            
Convertible debt       $ 1,146,000    
Change in fair value of convertible debt       71,119    
Total       991,135    
SEPA Convertible Note | Subsequent events            
CONVERTIBLE DEBT            
Original debt, principal $ 201,135.29 $ 190,000        
Original debt, accrued interest $ 2,169.06 $ 5,126.3        
Conversion of debt to shares 37,931 34,620        
SEPA Convertible Note | Yorkville            
CONVERTIBLE DEBT            
Gross proceeds     $ 2,500,000      
Proceeds from notes payable net     $ 2,300,000      
Percentage rate of the original issue discount     8.00%      
Standby equity purchase agreement            
CONVERTIBLE DEBT            
Repayments of convertible debt       375,000    
Repayment of principal amount of debt       343,543    
Cash paid for interest       7,409    
Cash payment       24,048    
Original debt, principal       52,297    
Original debt, accrued interest       $ 11,194    
Conversion of debt to shares       11,548    
SEPA Convertible Note, variable price (in $ per share)       $ 5.5