v3.26.1
RELATED PARTY TRANSACTIONS (Details Narrative) - USD ($)
12 Months Ended
Sep. 17, 2025
Jul. 07, 2025
Jun. 30, 2025
May 30, 2025
Jun. 24, 2024
Apr. 30, 2021
Mar. 31, 2026
Mar. 31, 2025
Sep. 30, 2025
Sep. 30, 2024
Jul. 26, 2023
Jul. 17, 2023
Related Party Transaction [Line Items]                        
Accounts receivable write off against reserve for credit losses             $ 1,165,584 $ 702,597        
Debt interest rate   4.00%                   5.00%
Gain on the extinguishment of debt             801,894 0        
Interest expense             1,769,656 82,173        
Treasury stock             9,586,617 8,565,401        
Northern Trust [Member]                        
Related Party Transaction [Line Items]                        
Letter of credit                     $ 1,600,000 $ 1,600,000
Sunflower Bank, NA [Member]                        
Related Party Transaction [Line Items]                        
Debt maturity date   Jul. 07, 2026                    
Warrants [Member]                        
Related Party Transaction [Line Items]                        
Warrants exercise price $ 1     $ 1.81                
Warrant issued to purchase $ 13,000,000     $ 7,000,000                
7M Warrant [Member]                        
Related Party Transaction [Line Items]                        
Fair value of warrants             $ 7,094,926          
Volatility             70.00%          
Risk free rate             4.15%          
Dividend             0.00%          
Expected term             5 years          
13M Warrant [Member]                        
Related Party Transaction [Line Items]                        
Warrants exercise price $ 1                      
Warrants issued to purchase common stock 13,000,000                      
Warrant term 5 years                      
Fair value of warrants             $ 12,253,800          
Volatility             67.49%          
Risk free rate             3.62%          
Expected term             5 years          
Settlement Agreement [Member]                        
Related Party Transaction [Line Items]                        
Settlement amount         $ 8,000,000              
Treasury stock                   $ 4,800,000    
Settlement Agreement [Member] | 7M Warrant [Member]                        
Related Party Transaction [Line Items]                        
Warrants exercise price       $ 1.81                
Warrants issued to purchase common stock       7,000,000                
Warrant term       5 years                
Percentage of issuable shares transfer under the warrant       25.00%                
Pledge and Escrow Agreement [Member]                        
Related Party Transaction [Line Items]                        
Value of stock issued           $ 2,800,000            
Number of stock issued           2,857,143            
Related Party [Member]                        
Related Party Transaction [Line Items]                        
Accounts receivable               $ 201,646 $ 201,646      
Accounts receivable write off against reserve for credit losses             $ 201,646          
Urvan [Member] | $12M Note Payable [Member]                        
Related Party Transaction [Line Items]                        
Debt face amount       $ 12,000,000                
Debt interest rate       6.50%                
Debt Instrument, Interest Rate, Increase (Decrease)       2.00%                
Debt instrument, maturity date, description             The unpaid principal balance of Note 1 and all accrued and unpaid interest thereon is due on May 30, 2037.          
Annual prepayments       $ 1,000,000                
Debt instrument, payment terms             the right to prepay, prior to May 30, 2037, all or any part of the principal or interest of Note 1 without penalty. In addition, the holder may not request early repayment of Note 1 prior to May 30, 2027.          
Unsecured debt     $ 9,866,679                  
Debt discount     $ 2,133,321                  
Debt discount rate     9.40%                  
Interest expense             $ 819,550          
Urvan [Member] | $39M Note Payable [Member]                        
Related Party Transaction [Line Items]                        
Volatility     70.00%                  
Debt face amount       $ 39,000,000                
Debt interest rate       4.62%                
Debt Instrument, Interest Rate, Increase (Decrease)       2.00%                
Debt instrument, maturity date, description             The unpaid principal balance of Note 2 and all accrued and unpaid interest thereon was due on May 30, 2035.          
Annual prepayments       $ 1,950,000                
Debt instrument, payment terms             had the right to prepay, prior to May 30, 2035, all or any part of the principal or interest of Note 2 without penalty. In addition, the holder could not request early repayment of Note 2 prior to May 30, 2027.          
Unsecured debt     $ 12,105,624                  
Debt discount     $ 26,894,376                  
Debt discount rate     9.60%                  
Interest expense             $ 950,070