v3.26.1
UNAUDITED CONDENSED CONSOLIDATED INTERIM STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY (DEFICIT) - USD ($)
Common Shares [Member]
Common Stock Subscribed [Member]
Additional Paid-In-Capital [Member]
Deficit [Member]
Total
Balance at Dec. 31, 2023 $ 167 $ 0 $ 1,041,583 $ (8,978,038) $ (7,936,288)
Balance (Shares) at Dec. 31, 2023 16,720,200        
Reg A financing $ 25 1,870,643 8,819,575 0 10,690,243
Reg A financing (Shares) 2,456,710        
Reg A financing share issuance costs $ 0 0 (735,634) 0 (735,634)
Stock-based compensation         0
Net loss $ 0 0 0 (7,908,777) $ (7,908,777)
Balance (Shares) at Dec. 31, 2024 19,176,910       19,176,910
Balance at Dec. 31, 2024 $ 192 1,870,643 9,125,524 (16,886,815) $ (5,890,456)
Balance (Shares) at Mar. 31, 2025 19,697,980        
Balance at Mar. 31, 2025 $ 197 4,101,909 10,889,646 (19,539,922) (4,548,170)
Balance at Dec. 31, 2024 $ 192 1,870,643 9,125,524 (16,886,815) $ (5,890,456)
Balance (Shares) at Dec. 31, 2024 19,176,910       19,176,910
Issuance of former stock subscriptions $ 5 (1,870,643) 1,870,638 0 $ 0
Issuance of former stock subscriptions (Shares) 521,070        
Reg A financing $ 14 0 4,942,896 0 4,942,910
Reg A financing (Shares) 1,376,852        
Reg A financing subscriptions received $ 0 1,976,791 0 0 1,976,791
Reg A financing subscriptions received (Shares) 0        
Reg A financing share issuance costs $ 0 0 (383,356) 0 (383,356)
Stock-based compensation         0
Net loss $ 0 0 0 (4,587,534) (4,587,534)
Balance (Shares) at Jun. 30, 2025 21,074,832        
Balance at Jun. 30, 2025 $ 211 1,976,791 15,555,702 (21,474,349) (3,941,645)
Balance at Dec. 31, 2024 $ 192 1,870,643 9,125,524 (16,886,815) $ (5,890,456)
Balance (Shares) at Dec. 31, 2024 19,176,910       19,176,910
Issuance of former stock subscriptions $ 5 (1,870,643) 1,870,638 0 $ 0
Issuance of former stock subscriptions (Shares) 521,070        
Reg A financing $ 20 0 7,247,911 0 7,247,931
Reg A financing (Shares) 2,018,917        
Reg A financing share issuance costs $ 0 0 (591,451) 0 (591,451)
Initial Public Offering $ 61 0 22,061,796 0 22,061,857
Initial Public Offering (Shares) 6,145,364        
Initial Public Offering share issuance costs $ 0 0 (2,671,890) 0 (2,671,890)
Conversion of convertible debentures $ 38 0 13,767,099 0 13,767,137
Conversion of convertible debentures (Shares) 3,834,857        
Conversion of note payable $ 4 0 1,451,476 0 1,451,480
Conversion of note payable (Shares) 404,312        
Cashless exercise of warrants $ 117 0 (117) 0 0
Cashless exercise of warrants (Shares) 11,676,166        
RSUs vesting $ 1 0 (1) 0 0
RSUs vesting (Shares) 114,250        
Stock-based compensation $ 0 0 6,069,560 0 6,069,560
Net loss $ 0 0 0 (16,543,616) $ (16,543,616)
Balance (Shares) at Dec. 31, 2025 43,891,846       43,891,846
Balance at Dec. 31, 2025 $ 438 0 58,330,545 (33,430,431) $ 24,900,552
Balance at Mar. 31, 2025 $ 197 4,101,909 10,889,646 (19,539,922) (4,548,170)
Balance (Shares) at Mar. 31, 2025 19,697,980        
Issuance of former stock subscriptions $ 12 (4,101,909) 4,101,897 0 0
Issuance of former stock subscriptions (Shares) 1,142,590        
Reg A financing $ 2 0 840,999 0 841,001
Reg A financing (Shares) 234,262        
Reg A financing subscriptions received $ 0 1,976,791 0 0 1,976,791
Reg A financing subscriptions received (Shares) 0        
Reg A financing share issuance costs $ 0 0 (276,840) 0 (276,840)
Net loss $ 0 0 0 (1,934,427) (1,934,427)
Balance (Shares) at Jun. 30, 2025 21,074,832        
Balance at Jun. 30, 2025 $ 211 1,976,791 15,555,702 (21,474,349) (3,941,645)
Balance at Dec. 31, 2025 $ 438 0 58,330,545 (33,430,431) $ 24,900,552
Balance (Shares) at Dec. 31, 2025 43,891,846       43,891,846
Cashless exercise of warrants $ 36 0 (36) 0 $ 0
Cashless exercise of warrants (Shares) 3,584,545        
RSUs vesting $ 22 0 (22) 0 0
RSUs vesting (Shares) 2,170,750        
PIPE financing $ 52 0 17,499,943 0 17,499,995
PIPE financing (Shares) 5,223,879        
PIPE financing share issuance costs $ 0 0 (1,360,015) 0 (1,360,015)
Stock-based compensation 0 0 4,464,752 0 4,464,752
Net loss $ 0 0 0 (15,727,338) $ (15,727,338)
Balance (Shares) at Jun. 30, 2026 54,871,020       54,871,020
Balance at Jun. 30, 2026 $ 548 0 78,935,167 (49,157,769) $ 29,777,946
Balance at Mar. 31, 2026 $ 441 0 60,127,316 (37,699,562) 22,428,195
Balance (Shares) at Mar. 31, 2026 44,173,972        
Cashless exercise of warrants $ 35 0 (35) 0 0
Cashless exercise of warrants (Shares) 3,530,919        
RSUs vesting $ 20 0 (20) 0 0
RSUs vesting (Shares) 1,942,250        
PIPE financing $ 52 0 17,499,943 0 17,499,995
PIPE financing (Shares) 5,223,879        
PIPE financing share issuance costs $ 0 0 (1,360,015) 0 (1,360,015)
Stock-based compensation 0 0 2,667,978 0 2,667,978
Net loss $ 0 0 0 (11,458,207) $ (11,458,207)
Balance (Shares) at Jun. 30, 2026 54,871,020       54,871,020
Balance at Jun. 30, 2026 $ 548 $ 0 $ 78,935,167 $ (49,157,769) $ 29,777,946