v3.26.1
SCHEDULE OF SEGMENT REPORTING (Details) - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Revenue from External Customer [Line Items]    
Revenues $ 46,660,320 $ 33,315,859
Cost of revenues (34,786,895) (20,326,381)
Gross Profit: 11,873,425 12,989,478
Operating Expenses (31,694,143) (47,251,411)
Other Income (1,775,910) 10,344,580
Deemed Dividends (2,999,964) (76,528,836)
Net loss available to common shareholders (24,596,592) (100,446,189)
Scrap Metal Recycling [Member]    
Revenue from External Customer [Line Items]    
Revenues 32,888,499 23,296,239
Cost of revenues (27,473,253) (14,508,923)
Gross Profit: 5,415,246 8,787,316
Hauling [Member]    
Revenue from External Customer [Line Items]    
Revenues 13,695,565 9,881,820
Cost of revenues (7,313,642) (5,817,458)
Gross Profit: 6,381,923 4,064,362
Other [Member]    
Revenue from External Customer [Line Items]    
Revenues 76,256 137,800
Cost of revenues
Gross Profit: $ 76,256 $ 137,800