v3.26.1
Warrants - Schedule of Weighted Average Fair Value of Warrants Granted (Details)
Dec. 31, 2025
Jun. 18, 2025
[1]
Feb. 04, 2025
[1]
Dec. 31, 2024
Weighted average fair value [Member]        
Schedule of Weighted Average Fair Value of Warrants Granted [Line Items]        
Fair value of warrants 0.06 2,256,250 2,256,250 0.87
Dividend yield [Member]        
Schedule of Weighted Average Fair Value of Warrants Granted [Line Items]        
Fair value of warrants 92 88
Expected volatility factor [Member]        
Schedule of Weighted Average Fair Value of Warrants Granted [Line Items]        
Fair value of warrants 66.3     72.7
Risk-free interest rate [Member]        
Schedule of Weighted Average Fair Value of Warrants Granted [Line Items]        
Fair value of warrants 3.7     4.3
Expected life (in years) [Member]        
Schedule of Weighted Average Fair Value of Warrants Granted [Line Items]        
Fair value of warrants 2.4     5.5
[1] The fair value analysis of the Incremental Warrants was performed under the assumption of immediate conversion as of the valuation date. The stock price, classified as a Level 1 input under the fair value hierarchy, was utilized in the analysis. Potential ownership limitations or conversion blockers were not incorporated into the valuation, as the analysis assumed full conversion in a single transaction without restriction.