v3.26.1
Fair Value Measurements - Schedule of fair value on a recurring basis (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2026
Mar. 31, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Recurring fair value measurements          
Total (gains) losses for period included in earnings $ (142,140)   $ (1,708,510) $ (357,681) $ (492,886)
2024 October Institutional/Accredited Investor Warrants          
Recurring fair value measurements          
Balance at period start 0 $ 1,403   1,403  
Initial fair value 0 0      
Interest Expense 0 0      
Conversion of Convertible Notes 0 0      
Total (gains) losses for period included in earnings 0 (1,403) (20,082) (1,403) (285,260)
Balance at period end 0 0   0  
2025 May Institutional/Accredited Investor Warrants          
Recurring fair value measurements          
Balance at period start 0 11,272   11,272  
Initial fair value 0 0      
Interest Expense 0 0      
Conversion of Convertible Notes 0 0      
Total (gains) losses for period included in earnings 0 (11,272) 0 (11,272) 0
Balance at period end 0 0   0  
2025 September Institutional/Accredited Investor Warrants          
Recurring fair value measurements          
Balance at period start 0 2,862   2,862  
Initial fair value 0 0      
Interest Expense 0 0      
Conversion of Convertible Notes 0 0      
Total (gains) losses for period included in earnings 0 (2,862) 0 (2,862) 0
Balance at period end 0 0   0  
Senior Convertible Notes - September 2025          
Recurring fair value measurements          
Balance at period start 117,070 112,302   112,302  
Initial fair value 0 0      
Interest Expense 0 4,768      
Conversion of Convertible Notes (111,111) 0      
Total (gains) losses for period included in earnings 0 0 0   0
Balance at period end 5,959 117,070   5,959  
2025 November Institutional/Accredited Investor Warrants          
Recurring fair value measurements          
Balance at period start 0 12,311   12,311  
Initial fair value 0 0      
Interest Expense 0 0      
Conversion of Convertible Notes 0 0      
Total (gains) losses for period included in earnings 0 (12,311) 0 (12,311) 0
Balance at period end 0 0   0  
Senior Convertible Notes - November 2025          
Recurring fair value measurements          
Balance at period start 245,865 281,185   281,185  
Initial fair value 0      
Interest Expense (1,000) 4,898      
Conversion of Convertible Notes (237,559) (40,218)      
Total (gains) losses for period included in earnings 0 0   0
Balance at period end 7,306 245,865   7,306  
2025 December 17 and 26 Institutional/Accredited Investor Warrants          
Recurring fair value measurements          
Balance at period start 0 9,848   9,848  
Initial fair value 0      
Interest Expense 0 0      
Conversion of Convertible Notes 0 0      
Total (gains) losses for period included in earnings 0 (9,848) 0 (9,848) 0
Balance at period end 0 0   0  
Senior Convertible Notes - December 17 and 26 2025          
Recurring fair value measurements          
Balance at period start 4,953 222,691   222,691  
Initial fair value 0      
Interest Expense 66 4,484      
Conversion of Convertible Notes 0 (222,222)      
Total (gains) losses for period included in earnings 0 0 0   0
Balance at period end 5,019 4,953   5,019  
2025 December 30 Institutional/Accredited Investor Warrants and AIR          
Recurring fair value measurements          
Balance at period start 258,482 436,327   436,327  
Initial fair value 0 0      
Interest Expense 0 0      
Conversion of Convertible Notes 0 0      
Total (gains) losses for period included in earnings (109,547) (177,845) $ 0 (287,392) $ 0
Balance at period end 148,935 258,482   148,935  
2026 January Institutional/Accredited Investor Warrants          
Recurring fair value measurements          
Balance at period start 6,559 0   0  
Initial fair value 0 6,559      
Interest Expense 0 0      
Conversion of Convertible Notes 0 0      
Total (gains) losses for period included in earnings (2,825) 0   (2,825)  
Balance at period end 3,734 6,559   3,734  
2026 February Institutional/Accredited Investor Warrants          
Recurring fair value measurements          
Balance at period start 7,411 0   0  
Initial fair value 0 7,411      
Interest Expense 0 0      
Conversion of Convertible Notes 0 0      
Total (gains) losses for period included in earnings (3,135) 0   (3,135)  
Balance at period end 4,276 7,411   4,276  
2026 March 6 Institutional/Accredited Investor Warrants          
Recurring fair value measurements          
Balance at period start 9,306 0   0  
Initial fair value 0 9,306      
Interest Expense 0 0      
Conversion of Convertible Notes 0 0      
Total (gains) losses for period included in earnings (3,792) 0   (3,792)  
Balance at period end 5,514 9,306   5,514  
2026 March 27 Institutional/Accredited Investor Warrants          
Recurring fair value measurements          
Balance at period start 54,754 0   0  
Initial fair value 0 54,754      
Interest Expense 0 0      
Conversion of Convertible Notes 0 0      
Total (gains) losses for period included in earnings (22,841) 0   (22,841)  
Balance at period end 31,913 54,754   31,913  
2026 April 13 Institutional/Accredited Investor Warrants          
Recurring fair value measurements          
Balance at period start 0 0   0  
Initial fair value 10,732 0      
Interest Expense 0 0      
Conversion of Convertible Notes 0 0      
Total (gains) losses for period included in earnings 0 0   0  
Balance at period end $ 10,732 $ 0   $ 10,732