v3.26.1
FAIR VALUE MEASUREMENTS - Assets and liabilities measured and recorded at fair value on a recurring basis (Details) - USD ($)
Mar. 31, 2026
Dec. 31, 2025
Jan. 28, 2025
Dec. 31, 2024
Liabilities        
3(a)(10) Settlement Agreement $ 3,687,000 $ 3,634,000 $ 11,624,000  
Contingent consideration 510,556 417,163    
Convertible debt   3,630,000    
Recurring        
Assets        
Forward purchase agreement       $ 1,471,000
Total assets       1,471,000
Liabilities        
Derivative liabilities 292,677 234,389   4,229,478
3(a)(10) Settlement Agreement 3,687,000 3,634,000    
Contingent consideration 236,832 1,771,390   434,174
Convertible debt 6,593,923 5,321,303   8,542,323
Total liabilities 10,810,432 10,961,082   13,205,975
Recurring | Level 3        
Assets        
Forward purchase agreement       1,471,000
Total assets       1,471,000
Liabilities        
Derivative liabilities 292,677 234,389   4,229,478
3(a)(10) Settlement Agreement 3,687,000 3,634,000    
Contingent consideration 236,832 1,771,390   434,174
Convertible debt 6,593,923 5,321,303   8,542,323
Total liabilities $ 10,810,432 $ 10,961,082   $ 13,205,975