v3.26.1
CONVERTIBLE DEBT - Summary of the individual convertible notes (Details)
12 Months Ended
Sep. 19, 2024
Dec. 31, 2025
USD ($)
D
$ / shares
Dec. 31, 2024
USD ($)
CONVERTIBLE DEBT      
Gross proceeds | $   $ 8,762,250 $ 4,940,000
Conversion Price (in dollars per share)   $ 1  
Maturity Date (from issuance date) 1 year    
2025 Convertible Notes      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 3,212,250  
Weighted average price, Percentage   90.00%  
Number of trading days | D   3  
5/25/2025      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 156,000  
Conversion Price (in dollars per share)   $ 8  
Conversion Option Period of Exercisability (from issuance date)   180 days  
Maturity Date (from issuance date)   210 days  
10/1/2025      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 188,000  
Conversion Price (in dollars per share)   $ 1.6  
Maturity Date (from issuance date)   302 days  
Number of trading days | D   10  
Conversion price, floor   $ 1.6  
Conversion price, discount percentage   65.00%  
10/7/2025      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 130,000  
Conversion Price (in dollars per share)   $ 1.6  
Maturity Date (from issuance date)   312 days  
Weighted average price, Percentage   75.00%  
Number of trading days | D   15  
10/23/2025      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 246,250  
Conversion Price (in dollars per share)   $ 1.2  
Maturity Date (from issuance date)   365 days  
10/23/2025 | First 210 days following issuance of convertible note      
CONVERTIBLE DEBT      
Conversion Price (in dollars per share)   $ 80  
Conversion Option Period of Exercisability (from issuance date)   210 days  
Weighted average price, Percentage   90.00%  
Number of trading days immediately prior to applicable measurement date | D   3  
10/23/2025 | 180 days period after issuance of convertible note      
CONVERTIBLE DEBT      
Conversion Price (in dollars per share)   $ 8  
Conversion Option Period of Exercisability (from issuance date)   180 days  
11/25/2025      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 192,000  
Conversion Price (in dollars per share)   $ 1.04  
Maturity Date (from issuance date)   310 days  
Convertible note is convertible at a price   65.00%  
11/25/2025      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 500,000  
Conversion Price (in dollars per share)   $ 8  
Conversion Option Period of Exercisability (from issuance date)   210 days  
Maturity Date (from issuance date)   210 days  
12/2/2025      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 250,000  
Conversion Price (in dollars per share)   $ 8  
Conversion Option Period of Exercisability (from issuance date)   210 days  
Maturity Date (from issuance date)   210 days  
12/8/2025      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 1,000,000  
Conversion Price (in dollars per share)   $ 8  
Conversion Option Period of Exercisability (from issuance date)   210 days  
Maturity Date (from issuance date)   210 days  
12/8/2025      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 250,000  
Conversion Price (in dollars per share)   $ 8  
Conversion Option Period of Exercisability (from issuance date)   210 days  
Maturity Date (from issuance date)   210 days  
12/8/2025      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 50,000  
Conversion Price (in dollars per share)   $ 8  
Conversion Option Period of Exercisability (from issuance date)   210 days  
Maturity Date (from issuance date)   210 days  
12/16/2025      
CONVERTIBLE DEBT      
Gross proceeds | $   $ 250,000  
Conversion Price (in dollars per share)   $ 8  
Conversion Option Period of Exercisability (from issuance date)   210 days  
Maturity Date (from issuance date)   210 days