v3.26.1
Schedule of Supplemental Disclosure of Cash Flow Information (Details) - USD ($)
6 Months Ended 12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Dec. 31, 2025
Dec. 31, 2024
Supplemental information:        
Cash paid for interest $ 4,735,985 $ 66,932 $ 25,275 $ 2,827
Cash paid for taxes 7,000,000 9,320    
Non-cash transactions:        
Issuance of common stock for settlement of trade and other payables 3,713,063 15,000
Acquisition of a business through the issuance of common stocks and warrants     20,865,167
Conversion of convertible notes through the issuance of common shares 602,870,303 419,601
Settlement of liabilities through the issuance of common stock     176,999
Acquisition of assets through the issuance of common stock     1,256,040
Assets held for Sale- rerecognize MDC     1,105,000
Bad debt expense related to MDC sale     (1,180,620)
ROU assets obtained in exchange for lease liability 2,452,332 8,153,736 1,061,831
Debt issuance converted to stock     (419,601)
Issuance of convertible notes receivable     15,171,072
Roth CH Acquisition Corp merger     $ 3,934,546
Non-cash investing and financing activities:        
Gain on sale of modular data centre (MDC) 808,513    
Gain on sale of storage servers 153,144    
Assets held for Sale- rerecognize MDC 1,105,000    
Bad debt expense related to MDC sale $ (1,180,620)