v3.26.1
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) - USD ($)
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2026
Mar. 31, 2026
Jun. 30, 2025
Mar. 31, 2025
Jun. 30, 2026
Jun. 30, 2025
Dec. 31, 2025
Dec. 31, 2024
Operating activities                
Net loss $ (7,302,178) $ (5,603,683) $ (13,568,462) $ (6,878,601) $ (12,905,861) $ (20,447,063)    
Adjustments to reconcile net loss to net cash used in operating activities                
Depreciation and amortization         266,203 160,425    
Stock-based compensation         2,122 568,681    
Loss on disposal of asset         20,957 0    
Amortization of discount on debt and promissory notes         97,913 61,326    
Change in fair value of warrants/investment rights liability         (357,681) (441,182)    
Change in fair value of convertible notes 0   (1,142,710)   0 (51,704)    
Fair value of warrants issued for cryptocurrency strategy consulting services         0 8,194,000    
Provision for credit losses         0 990,105    
Noncash lease expense         264,828 250,448    
Change in operating assets and liabilities                
Accounts receivable         381,788 749,923    
Inventory         228,771 347,541    
Prepaid expenses and other assets         (1,006,676) 10,868    
Accounts payable         978,938 (480,643)    
Advance deposit from customer         (463,223) 0    
Due to customer         145,000 800,000    
Accrued expenses and other liabilities         2,180,072 1,771,572    
Deferred revenue         775,309 241,423    
Net cash used in operating activities         (9,391,540) (7,274,280) $ (16,600,000) $ (15,700,000)
Investing activities                
Acquisition         0 (340,200)    
Purchase of property and equipment         (295,479) (54,173)    
Net cash used in investing activities         (295,479) (394,373)    
Financing activities                
Proceeds from exercise of warrants         773,409 2,075,345    
Proceeds from debt and promissory notes obligations         1,365,000 8,759,426    
Repayment of debt and promissory notes obligations         (575,811) (2,482,212)    
Proceeds from common stock offering, including pre-funded warrants, net of issuance costs         0 564,847    
Payment of finance lease obligations         (647) (7,591)    
Proceeds from issuance of Class B units         0 100,000    
Proceeds from convertible series A preferred, net of offering costs         2,031,744 0    
Proceeds from issuance of J-Kiss units         1,183,582 0    
Net cash provided in financing activities         4,777,277 9,009,815    
Effect of exchange rate on cash         (56,631) 54,747    
Net increase (decrease) in cash and restricted cash         (4,966,373) 1,395,909    
Cash and restricted cash at beginning of year   $ 5,787,250   $ 691,497 5,787,250 691,497 691,497  
Cash and restricted cash at end of period $ 820,877   $ 2,087,406   820,877 2,087,406 $ 5,787,250 $ 691,497
Supplemental Disclosure of cash information:                
Cash paid for interest         56,309 502,133    
Supplemental Disclosure of Noncash Investing and Financing Activities:                
Conversion of preferred stock, net of issuance costs and accretion         3,944,206 0    
Conversion of Notes and accrued interest to common shares         616,487 0    
Transfer of inventory to property and equipment         183,219 0    
Issuance of preferred class A units for acquisition         $ 0 $ 774,976