v3.26.1
Significant Accounting Policies - Schedule of Fair Value of the Level 3 Liabilities was Determined using Valuation Models (Details) - Fair Value, Inputs, Level 3 [Member] - USD ($)
3 Months Ended 12 Months Ended
Mar. 31, 2026
Dec. 31, 2024
Dec. 31, 2025
Schedule of Fair Value of the Level 3 Liabilities was Determined using Valuation Models [Line Items]      
Outstanding, beginning $ 24,521,000 $ 165,619,000
Additions   24,408,000 23,435,000
Exercised     (32,179,000)
Changes in fair value   141,211,000 (132,354,000)
Outstanding, ending   165,619,000 24,521,000
Embedded Derivative Liability [Member]      
Schedule of Fair Value of the Level 3 Liabilities was Determined using Valuation Models [Line Items]      
Outstanding, beginning 848,000
Additions   223,000
Exercised     (260,000)
Changes in fair value   625,000 (588,000)
Outstanding, ending   848,000
June 2024 Warrants [Member]      
Schedule of Fair Value of the Level 3 Liabilities was Determined using Valuation Models [Line Items]      
Outstanding, beginning 5,334,000
Additions   283,000  
Exercised     (1,054,000)
Changes in fair value   5,051,000 (4,280,000)
Outstanding, ending   5,334,000
November 2024 Warrants [Member]      
Schedule of Fair Value of the Level 3 Liabilities was Determined using Valuation Models [Line Items]      
Outstanding, beginning 12,468,000
Additions   664,000  
Exercised     (2,079,000)
Changes in fair value   11,804,000 (10,389,000)
Outstanding, ending   12,468,000
Pre-funded Warrants [Member]      
Schedule of Fair Value of the Level 3 Liabilities was Determined using Valuation Models [Line Items]      
Outstanding, beginning 52,682,000
Additions   5,085,000
Exercised     (10,229,000)
Changes in fair value   47,597,000 (42,453,000)
Outstanding, ending   52,682,000
Common Stock Warrant [Member]      
Schedule of Fair Value of the Level 3 Liabilities was Determined using Valuation Models [Line Items]      
Outstanding, beginning 94,287,000
Additions   18,153,000
Exercised     (18,557,000)
Changes in fair value   76,134,000 (75,730,000)
Outstanding, ending   94,287,000
Private Placement Warrant [Member]      
Schedule of Fair Value of the Level 3 Liabilities was Determined using Valuation Models [Line Items]      
Outstanding, beginning 24,521,000
Additions 23,435,000
Exercised (4,960,000)  
Changes in fair value (6,870,000) 1,086,000
Outstanding, ending $ 12,691,000 $ 24,521,000