v3.26.1
Debt (Details)
3 Months Ended 12 Months Ended
Jul. 02, 2026
USD ($)
Apr. 12, 2026
USD ($)
Jun. 30, 2025
USD ($)
Jun. 30, 2026
USD ($)
Days
Jun. 30, 2025
USD ($)
Mar. 31, 2026
USD ($)
Jun. 04, 2026
Debt [Line Items]              
Interest expense       $ 32,462 $ 56,730    
Debt obligations owed to various lenders       1,078,263   $ 874,580  
Penal interest expense       24,024 19,701    
Total principal amount $ 120,000            
Legal and due diligence fees       10,000      
Bear interest annual rate             12.00%
Unsecured notes     $ 4,231 $ 81,326 4,231    
Net proceeds           1,223,500  
Default interest rate       50.00%      
Convertible Notes Payable [Member]              
Debt [Line Items]              
Maturity date       Aug. 24, 2026      
Default interest rate       50.00%      
SOD Sciences, Inc. [Member]              
Debt [Line Items]              
Obligated to issue       $ 70,731      
Private placement offering amount       341,500      
Walsh Capital Industries Corp. [Member]              
Debt [Line Items]              
Obligated to issue       50,000      
Series A Units [Member] | SOD Sciences, Inc. [Member]              
Debt [Line Items]              
Obligated to issue       341,500      
Series A Units [Member] | Walsh Capital Industries Corp. [Member]              
Debt [Line Items]              
Private placement offering amount       50,000      
D&O insurance through Honor PCF Trust I [Member]              
Debt [Line Items]              
Penal interest expense       7,709      
Installments amount       62,050      
Default penalty       6,236      
Bridge Notes [Member]              
Debt [Line Items]              
Total principal amount       351,531      
Initial issue discount value       32,685      
Proceeds for the note issued       45,500      
Percentage net proceeds     13.00%        
Total debt issuance costs       97,000      
Bridge Notes [Member] | Walsh Capital Industries Corp. [Member]              
Debt [Line Items]              
Total principal amount   $ 100,000          
Convertible Redeemable Notes [Member]              
Debt [Line Items]              
Total principal amount           267,614  
Initial issue discount value           20,114  
Legal and due diligence fees           11,500  
Unsecured notes     $ 26,188    
Net proceeds           236,000  
Promissory Notes [Member]              
Debt [Line Items]              
Total principal amount           180,000  
Initial issue discount value           18,000  
Legal and due diligence fees           3,500  
Bear interest annual rate       12.00%      
Maturity date       Aug. 19, 2026      
Percentage of market price       75.00%      
Trading days | Days       15      
Net proceeds           158,500  
Terms of Convertible Notes [Member]              
Debt [Line Items]              
Maturity date       Jul. 08, 2026      
Interest rate       22.00%      
Terms of Convertible Notes [Member] | Convertible Notes Payable [Member]              
Debt [Line Items]              
Interest rate       22.00%      
Securities Purchase Agreements [Member]              
Debt [Line Items]              
Total principal amount           1,427,825  
Initial issue discount value           152,825  
Legal and due diligence fees           $ 51,500  
Securities Purchase Agreements [Member] | Bridge Notes [Member]              
Debt [Line Items]              
Total principal amount       $ 351,531      
Initial issue discount value       32,685      
Proceeds for the note issued       308,846      
Legal and due diligence fees       10,000      
Total debt issuance costs       $ 308,846      
Minimum [Member]              
Debt [Line Items]              
Bear interest annual rate           10.00%  
Percentage of conversion price       73.00%      
Minimum [Member] | Bridge Notes [Member]              
Debt [Line Items]              
Interest rate           0.00%  
Default interest rate       0.00%      
Minimum [Member] | Convertible Redeemable Notes [Member]              
Debt [Line Items]              
Bear interest annual rate       6.00%      
Percentage of conversion price       72.00%      
Maturity date       Jul. 08, 2026      
Minimum [Member] | Terms of Bridge Notes [Member]              
Debt [Line Items]              
Interest rate       8.00%      
Maximum [Member]              
Debt [Line Items]              
Bear interest annual rate           12.00%  
Percentage of conversion price       75.00%      
Maximum [Member] | Bridge Notes [Member]              
Debt [Line Items]              
Interest rate       12.00%      
Default interest rate       22.00%      
Maximum [Member] | Convertible Redeemable Notes [Member]              
Debt [Line Items]              
Bear interest annual rate       12.00%      
Percentage of conversion price       75.00%      
Maturity date       Aug. 24, 2026      
Maximum [Member] | Terms of Bridge Notes [Member]              
Debt [Line Items]              
Interest rate       22.00%