v3.26.1
Debt (Details) - USD ($)
3 Months Ended 6 Months Ended 12 Months Ended
Mar. 31, 2026
Dec. 31, 2025
Mar. 31, 2025
Dec. 28, 2024
Jun. 30, 2026
Mar. 31, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Dec. 31, 2025
Dec. 31, 2024
Debt [Line Items]                      
Interest expense                   $ 238,880 $ 87,692
Outstanding balance         $ 500,000     $ 500,000      
Received promissory notes         580,402     $ 580,402      
Percentage of gross cash proceeds               15.00%      
Monthly carrying forward amount               $ 150,000      
Reduced cap closing price of common stock               25,000      
Amortization of debt discount                  
Interest expense               $ 29,052      
Interest accrues outstanding balance rate 10.00%                    
Common stock commences trading days 5 years                    
Outstanding balance percentage 110.00%                 60.00%  
Prepayment penalty percentage 10.00%                    
Convertible shares of common stock 166,912             184,730      
Own in excess percentage               9.99%      
Original issue discount $ 100,000         $ 100,000          
Gain on extinguishment of debt           $ 14,554    
Net debt discount is amortized         90,804            
Net debt discount rate               10.00%      
Debt instrument discount cost               $ 554,598      
Interest capitalized              
Interest expense other                  
Short-term debt   $ 500,000     $ 580,402     $ 580,402   500,000
Series A Convertible Preferred Stock [Member]                      
Debt [Line Items]                      
Conversion price         $ 1,000     $ 1,000      
Warrants [Member]                      
Debt [Line Items]                      
Exercise price per share $ 6.8         $ 6.8          
Warrants purchase         250,000     250,000      
Streeterville Capital, LLC [Member]                      
Debt [Line Items]                      
Aggregate purchase price                   500,000  
Amortization of debt discount                   75,000  
Interest expense                   $ 89,554  
Effective interest days                   60 days  
Streeterville March 2026 Convertible Note [Member]                      
Debt [Line Items]                      
Number of trading days 10 days                    
Aggregate purchase price $ 500,000                    
Aggregate principal amount               $ 302,423      
Amortization of debt discount               585,402      
Fees paid 35,000                    
Original issue discount 575,000         $ 575,000          
Net debt discount is amortized               $ 645,402      
Streeterville March 2026 Convertible Note [Member] | Securities Purchase Agreement [Member]                      
Debt [Line Items]                      
Aggregate principal amount 1,135,000                    
Streeterville March 2026 Convertible Note [Member] | Warrants [Member]                      
Debt [Line Items]                      
Exercise price per share         $ 6.8     $ 6.8      
Warrants purchase         250,000     250,000      
Listing Date [Member]                      
Debt [Line Items]                      
Conversion price         $ 6.8     $ 6.8      
Related Party Promissory Note Payable [Member]                      
Debt [Line Items]                      
Number of trading days               10 days      
Promissory Notes [Member]                      
Debt [Line Items]                      
Accrued interest payable balance   326,572           $ 72,387   $ 326,572  
Received promissory notes   1,007,000         336,408   336,408 1,007,000  
Repaid principal balance               128,568   104,883  
Principal balance               2,999,957   2,792,117  
Promissory notes available amount               $ 43   207,883  
Promissory Notes [Member] | Related Party Promissory Note Payable [Member]                      
Debt [Line Items]                      
Interest rate       10.00%              
Accrued interest payable balance                   326,572  
Received promissory notes   $ 1,007,000               1,007,000  
Repaid principal balance                   104,883  
Principal balance                   2,792,117  
Promissory notes available amount                   $ 207,883  
Effective interest rate percentage       10.00%              
Convertible Note [Member]                      
Debt [Line Items]                      
Outstanding balance percentage               15.00%      
Determined by independent third-party valuation $ 1,437,423         1,437,423          
Convertible Note [Member] | Streeterville March 2026 Convertible Note [Member]                      
Debt [Line Items]                      
Outstanding balance percentage               5.00%      
Grafiti Note [Member]                      
Debt [Line Items]                      
Interest expense         $ 72,387   57,013 $ 143,820 107,288    
promissory note principal amount     $ 3,000,000 $ 2,500,000              
Interest rate   10.00%     10.00%     10.00%   10.00%  
Accrued interest payable balance           $ 71,433   $ 72,387      
Received promissory notes   $ 1,007,000     $ 336,408     336,408   $ 1,007,000  
Repaid principal balance               128,568   104,883  
Principal balance               2,999,957   2,792,117  
Promissory notes available amount               $ 43   $ 207,883  
Effective interest rate percentage   10.00%     10.00%     10.00%   10.00%  
Maturity date of debt               Jul. 31, 2027      
Grafiti Note [Member] | Promissory Notes [Member] | Related Party Promissory Note Payable [Member]                      
Debt [Line Items]                      
promissory note principal amount     $ 3,000,000 $ 2,500,000              
Streeterville December 2025 Note [Member]                      
Debt [Line Items]                      
Interest expense         $ 119,856   $ 0        
Streeterville December 2025 Note [Member] | Streeterville Capital, LLC [Member]                      
Debt [Line Items]                      
Aggregate principal amount                   $ 575,000  
Streeterville March 2026 Convertible Note [Member]                      
Debt [Line Items]                      
Interest expense               $ 209,410 $ 0    
Interest rate         18.00%     18.00%      
Amortization of debt discount               $ 362,423      
Effective interest rate percentage         18.00%     18.00%      
Streeterville March 2026 Convertible Note [Member] | Promissory Notes [Member]                      
Debt [Line Items]                      
Interest rate   15.00%               15.00%  
Aggregate purchase price                   $ 500,000  
Aggregate principal amount                   $ 575,000  
Effective interest rate percentage   15.00%               15.00%  
Effective interest days                   60 years  
Original issue discount   $ 50,000               $ 50,000  
Issuance costs   25,000               25,000  
Short-term debt   $ 500,000               $ 500,000  
March 2026 Convertible Note [Member]                      
Debt [Line Items]                      
Interest rate         87.00%     87.00%      
Effective interest rate percentage         87.00%     87.00%