v3.26.1
Segment Information - Schedule of CODM is also Regularly Provided with Information on Significant Expenses and Cash and Cash Equivalents (Details) - USD ($)
3 Months Ended 6 Months Ended 12 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Mar. 31, 2024
Dec. 31, 2024
Dec. 31, 2025
Dec. 31, 2024
Schedule of CODM is also Regularly Provided with Information on Significant Expenses and Cash and Cash Equivalents [Line Items]            
Revenues $ 1,415,000 $ 1,260,000     $ 5,707,000 $ 4,155,000
Cost of revenues 192,000 196,000     866,000 782,000
R&D expenses- excluding stock-based compensation expenses 5,508,000 1,851,000     6,894,000 4,653,000
S&M expenses- excluding stock-based compensation expenses 1,255,000 1,736,000     5,696,000 3,316,000
G&A expenses- excluding stock-based compensation expenses 6,284,000 1,515,000     4,221,000 4,602,000
Operating loss (11,824,000) (4,038,000)     11,970,000 9,198,000
Net loss (10,770,000) (3,314,000) $ (15,610,000)   (12,819,000) (15,610,000)
Cash and cash equivalents 3,122,000 688,000   $ 927,000 294,000 927,000
TRAILBLAZER HOLDINGS, INC. [Member]            
Schedule of CODM is also Regularly Provided with Information on Significant Expenses and Cash and Cash Equivalents [Line Items]            
Operating loss       (53,820) (156,348)  
Net loss       (53,820) (156,348)  
Operating expenses       53,820 156,348  
Chief Operating Decision Maker [Member]            
Schedule of CODM is also Regularly Provided with Information on Significant Expenses and Cash and Cash Equivalents [Line Items]            
Revenues 1,415,000 1,260,000     5,707,000 4,155,000
Cost of revenues 192,000 196,000     866,000 782,000
R&D expenses- excluding stock-based compensation expenses 2,815,000 1,315,000     5,800,000 4,076,000
S&M expenses- excluding stock-based compensation expenses 1,162,000 1,510,000     5,141,000 3,265,000
G&A expenses- excluding stock-based compensation expenses 3,853,000 888,000     2,846,000 3,679,000
Stock based compensation expenses 5,217,000 1,389,000     3,024,000 1,551,000
Operating loss (11,824,000) (4,038,000)     11,970,000 9,198,000
Finance expenses 1,054,000 724,000     335,000 6,182,000
Interest expense         493,000 216,000
Taxes on Income         21,000 14,000
Net loss (10,770,000) (3,314,000)     12,819,000 15,610,000
Cash and cash equivalents $ 3,122,000 $ 688,000   927,000 294,000 $ 927,000
Chief Operating Decision Maker [Member] | TRAILBLAZER HOLDINGS, INC. [Member]            
Schedule of CODM is also Regularly Provided with Information on Significant Expenses and Cash and Cash Equivalents [Line Items]            
Operating expenses       $ 53,820 $ 156,348