v3.26.1
Convertible Debt and Promissory Notes- ReShape - Schedule of Fair Value of the Convertible Notes is Classified within Level 3 of the Fair Value Hierarchy (Details)
6 Months Ended
Jun. 30, 2025
Minimum [Member]  
Schedule of Fair Value of the Convertible Notes is Classified within Level 3 of the Fair Value Hierarchy [Line Items]  
Adjusted Interest rate 4.41%
Time to Financing Date 1 month
Maximum [Member]  
Schedule of Fair Value of the Convertible Notes is Classified within Level 3 of the Fair Value Hierarchy [Line Items]  
Adjusted Interest rate 4.45%
Time to Financing Date 3 months