Long-term debt and convertible promissory notes (Details Narrative)
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1 Months Ended |
3 Months Ended |
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Mar. 05, 2026
USD ($)
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Jan. 12, 2026
USD ($)
Integer
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Nov. 28, 2025
USD ($)
Integer
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Oct. 15, 2025
USD ($)
Integer
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Sep. 18, 2025
USD ($)
Integer
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Aug. 25, 2025
USD ($)
Integer
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Aug. 07, 2025
USD ($)
Integer
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Jun. 22, 2020
USD ($)
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Apr. 30, 2026
USD ($)
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Apr. 30, 2026
USD ($)
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Apr. 30, 2025
USD ($)
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Apr. 13, 2026
USD ($)
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Apr. 12, 2026
USD ($)
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Mar. 17, 2026
USD ($)
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Feb. 24, 2026
USD ($)
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Feb. 03, 2026
USD ($)
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Jan. 31, 2026
USD ($)
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| Short-Term Debt [Line Items] |
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| Debt discount |
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$ 251,549
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$ 251,549
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$ 0
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| Debt instrument unamortized discount |
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23,700
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26,250
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| Amortization of debt discount |
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265,532
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$ 25,049
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| Note principal balance |
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40,922
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40,922
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$ 32,400
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| Long term payable |
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32,400
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32,400
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32,400
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| Current portion of notes payable |
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$ 8,522
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8,522
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0
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| Accrued interest |
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$ 2,193
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| SBA's Economic Injury Disaster Loan Program [Member] |
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| Short-Term Debt [Line Items] |
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| Proceeds from loans originations |
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$ 32,300
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| Fee amount |
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$ 100
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| Line of credit facility interest rate during period |
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3.75%
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| Debt instrument term |
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30 years
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| Debt instrument periodic payment |
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$ 158
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| Premium Finance Agreement [Member] |
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| Short-Term Debt [Line Items] |
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| Interest rate, percentage |
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13.20%
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13.20%
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| Debt instrument periodic payment |
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$ 2,903
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| Insurance policy premiums |
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$ 33,500
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| Insurance policy premiums description |
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one-year
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| Insurance financed |
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$ 24,750
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| August 7, 2025 Note [Member] |
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| Short-Term Debt [Line Items] |
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| Debt instrument, face value |
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$ 137,500
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| Interest rate, percentage |
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8.00%
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| Original issue discount |
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$ 12,500
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35,824
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$ 35,824
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$ 109,579
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11,589
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| Additional transaction fees |
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$ 10,000
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| Debt instrument, maturity date |
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Aug. 07, 2026
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| Common stock conversion, percentage |
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75.00%
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| Debt instrument, convertible, threshold trading days | Integer |
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10
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| Note balance |
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14,272
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14,272
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125,911
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| Debt Conversion, Converted Instrument, Amount |
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87,404
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| Interest on notes |
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17,736
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| August 25, 2025 Note [Member] |
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| Short-Term Debt [Line Items] |
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| Debt instrument, face value |
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$ 137,500
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| Interest rate, percentage |
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8.00%
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| Original issue discount |
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$ 12,500
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$ 69,727
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11,452
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| Additional transaction fees |
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$ 7,500
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| Debt instrument, maturity date |
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Aug. 25, 2026
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| Common stock conversion, percentage |
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75.00%
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| Debt instrument, convertible, threshold trading days | Integer |
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10
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| Note balance |
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0
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0
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126,048
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| Interest on notes |
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41,250
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| Repayment of notes |
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137,500
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| September 2025 Note [Member] |
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| Short-Term Debt [Line Items] |
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| Debt instrument, face value |
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$ 74,250
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| Interest rate, percentage |
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8.00%
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| Original issue discount |
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$ 43,258
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6,805
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| Additional transaction fees |
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$ 3,375
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| Debt instrument, maturity date |
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Sep. 18, 2026
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| Common stock conversion, percentage |
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75.00%
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| Debt instrument, convertible, threshold trading days | Integer |
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10
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| Note balance |
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0
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0
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67,445
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| Debt Conversion, Converted Instrument, Amount |
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74,250
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| Interest on notes |
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12,271
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| Original issue discount, percentage |
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10.00%
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| October 2025 Note [Member] |
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| Short-Term Debt [Line Items] |
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| Debt instrument, face value |
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$ 70,400
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| Interest rate, percentage |
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8.00%
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| Original issue discount |
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$ 6,400
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$ 28,985
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8,375
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| Additional transaction fees |
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$ 7,000
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| Debt instrument, maturity date |
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Jul. 30, 2026
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| Common stock conversion, percentage |
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75.00%
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| Debt instrument, convertible, threshold trading days | Integer |
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10
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| Note balance |
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0
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0
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62,025
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| Debt Conversion, Converted Instrument, Amount |
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70,400
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| Interest on notes |
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8,816
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| November 2025 Note [Member] |
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| Short-Term Debt [Line Items] |
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| Debt instrument, face value |
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$ 70,400
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| Interest rate, percentage |
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8.00%
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| Original issue discount |
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$ 6,400
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4,998
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4,998
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9,885
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| Additional transaction fees |
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$ 7,000
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| Debt instrument, maturity date |
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Sep. 15, 2026
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| Common stock conversion, percentage |
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75.00%
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| Debt instrument, convertible, threshold trading days | Integer |
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10
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| Note balance |
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65,402
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65,402
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60,515
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| January 2026 Note [Member] |
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| Short-Term Debt [Line Items] |
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| Debt instrument, face value |
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$ 73,700
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| Interest rate, percentage |
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8.00%
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| Original issue discount |
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$ 6,700
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8,339
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8,339
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12,757
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| Additional transaction fees |
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$ 7,000
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| Debt instrument, maturity date |
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Oct. 15, 2026
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| Common stock conversion, percentage |
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75.00%
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| Debt instrument, convertible, threshold trading days | Integer |
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10
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| Note balance |
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65,361
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65,361
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$ 60,943
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| March 2026 Note [Member] |
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| Short-Term Debt [Line Items] |
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| Debt instrument, face value |
$ 110,000
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| Interest rate, percentage |
8.00%
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| Original issue discount |
$ 10,000
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8,466
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8,466
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| Debt instrument, maturity date |
Mar. 05, 2027
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| Common stock conversion, percentage |
75.00%
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| Note balance |
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101,534
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101,534
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| April 2026 Note [Member] |
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| Short-Term Debt [Line Items] |
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| Debt instrument, face value |
$ 73,700
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| Interest rate, percentage |
8.00%
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| Original issue discount |
$ 6,700
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12,953
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12,953
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| Additional transaction fees |
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$ 7,000
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| Debt instrument, maturity date |
Jan. 15, 2027
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| Common stock conversion, percentage |
75.00%
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| Note balance |
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$ 60,747
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$ 60,747
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