v3.26.3
CONVERTIBLE DEBT - Summary of the individual convertible notes (Details)
6 Months Ended 12 Months Ended
Sep. 19, 2024
Jun. 30, 2026
USD ($)
$ / shares
Dec. 31, 2025
USD ($)
D
$ / shares
Dec. 31, 2024
USD ($)
CONVERTIBLE DEBT        
Gross proceeds | $     $ 8,762,250 $ 4,940,000
Conversion Price (in dollars per share)     $ 1  
Maturity Date (from issuance date) 1 year      
2025 Convertible Notes        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 3,212,250  
Weighted average price, Percentage     90.00%  
Number of trading days | D     3  
5/25/2025        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 156,000  
Conversion Price (in dollars per share)     $ 8  
Conversion Option Period of Exercisability (from issuance date)     180 days  
Maturity Date (from issuance date)     210 days  
10/1/2025        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 188,000  
Conversion Price (in dollars per share)     $ 1.6  
Maturity Date (from issuance date)     302 days  
Number of trading days | D     10  
Conversion price, floor     $ 1.6  
Conversion price, discount percentage     65.00%  
10/7/2025        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 130,000  
Conversion Price (in dollars per share)     $ 1.6  
Maturity Date (from issuance date)     312 days  
Weighted average price, Percentage     75.00%  
Number of trading days | D     15  
10/23/2025        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 246,250  
Conversion Price (in dollars per share)     $ 1.2  
Maturity Date (from issuance date)     365 days  
10/23/2025 | First 210 days following issuance of convertible note        
CONVERTIBLE DEBT        
Conversion Price (in dollars per share)     $ 8  
Conversion Option Period of Exercisability (from issuance date)     210 days  
Weighted average price, Percentage     90.00%  
Number of trading days immediately prior to applicable measurement date | D     3  
10/23/2025 | 180 days period after issuance of convertible note        
CONVERTIBLE DEBT        
Conversion Price (in dollars per share)     $ 8  
Conversion Option Period of Exercisability (from issuance date)     180 days  
11/25/2025        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 192,000  
Conversion Price (in dollars per share)     $ 1.04  
Maturity Date (from issuance date)     310 days  
Convertible note is convertible at a price     65.00%  
11/25/2025        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 500,000  
Conversion Price (in dollars per share)     $ 8  
Conversion Option Period of Exercisability (from issuance date)     210 days  
Maturity Date (from issuance date)     210 days  
12/2/2025        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 250,000  
Conversion Price (in dollars per share)     $ 8  
Conversion Option Period of Exercisability (from issuance date)     210 days  
Maturity Date (from issuance date)     210 days  
12/8/2025        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 1,000,000  
Conversion Price (in dollars per share)     $ 8  
Conversion Option Period of Exercisability (from issuance date)     210 days  
Maturity Date (from issuance date)     210 days  
12/8/2025        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 250,000  
Conversion Price (in dollars per share)     $ 8  
Conversion Option Period of Exercisability (from issuance date)     210 days  
Maturity Date (from issuance date)     210 days  
12/8/2025        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 50,000  
Conversion Price (in dollars per share)     $ 8  
Conversion Option Period of Exercisability (from issuance date)     210 days  
Maturity Date (from issuance date)     210 days  
12/16/2025        
CONVERTIBLE DEBT        
Gross proceeds | $     $ 250,000  
Conversion Price (in dollars per share)     $ 8  
Conversion Option Period of Exercisability (from issuance date)     210 days  
Maturity Date (from issuance date)     210 days  
2026 Convertible Notes        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 3,540,420    
1/1/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 250,000    
Conversion Price (in dollars per share)   $ 7.48    
Conversion Option Period of Exercisability (from issuance date)   210 days    
Maturity Date (from issuance date)   210 days    
1/7/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 228,000    
Conversion Price (in dollars per share)   $ 5.18    
Maturity Date (from issuance date)   365 days    
1/13/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 250,000    
Conversion Price (in dollars per share)   $ 7.48    
Conversion Option Period of Exercisability (from issuance date)   210 days    
Maturity Date (from issuance date)   210 days    
1/14/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 100,000    
Conversion Price (in dollars per share)   $ 7.48    
Conversion Option Period of Exercisability (from issuance date)   210 days    
Maturity Date (from issuance date)   210 days    
1/20/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 227,150    
Conversion Price (in dollars per share)   $ 5.06    
Maturity Date (from issuance date)   365 days    
1/22/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 250,000    
Conversion Price (in dollars per share)   $ 4.39    
Maturity Date (from issuance date)   365 days    
1/27/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 250,000    
Conversion Price (in dollars per share)   $ 7.48    
Conversion Option Period of Exercisability (from issuance date)   210 days    
Maturity Date (from issuance date)   210 days    
2/12/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 228,000    
Conversion Price (in dollars per share)   $ 5.18    
Maturity Date (from issuance date)   365 days    
3/30/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 224,000    
Conversion Price (in dollars per share)   $ 4.73    
Maturity Date (from issuance date)   365 days    
4/2/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 150,000    
Conversion Price (in dollars per share)   $ 4.39    
Maturity Date (from issuance date)   365 days    
4/2/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 150,000    
Conversion Price (in dollars per share)   $ 3.74    
Maturity Date (from issuance date)   365 days    
4/2/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 50,000    
Conversion Price (in dollars per share)   $ 3.74    
Maturity Date (from issuance date)   365 days    
4/8/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 25,000    
Conversion Price (in dollars per share)   $ 3.74    
Maturity Date (from issuance date)   365 days    
4/20/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 146,160    
Conversion Price (in dollars per share)   $ 4.49    
Maturity Date (from issuance date)   314 days    
4/27/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 500,000    
Conversion Price (in dollars per share)   $ 7.48    
Conversion Option Period of Exercisability (from issuance date)   270 days    
Maturity Date (from issuance date)   270 days    
6/1/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 134,960    
Conversion Price (in dollars per share)   $ 4.49    
Maturity Date (from issuance date)   302 days    
6/9/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 150,000    
Conversion Price (in dollars per share)   $ 3.74    
Maturity Date (from issuance date)   365 days    
6/10/2026        
CONVERTIBLE DEBT        
Gross proceeds | $   $ 227,150    
Conversion Price (in dollars per share)   $ 5.06    
Maturity Date (from issuance date)   365 days