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Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Total financial liabilities, net $ 65,250,697 $ 23,674,154
Of which classified as Current Financial Liabilities, net 10,447,906 7,293,982
Of which classified as Non-Current Financial Liabilities, net $ 54,802,791 16,380,172
Short Term Loan, net [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 10.25%  
Maturity date Jul. 10, 2024  
Total financial liabilities, net $ 5,359,454
Convertible note, long term one [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 15.00%  
Maturity date Jul. 10, 2028  
Total financial liabilities, net $ 34,514,741
Convertible note, long term Two [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 15.00%  
Maturity date Jul. 10, 2028  
Total financial liabilities, net $ 15,940,386
Convertible note, long term Three [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 15.00%  
Maturity date Jul. 10, 2028  
Total financial liabilities, net $ 1,160,766
Convertible note, long term four [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 15.00%  
Maturity date Jul. 10, 2028  
Total financial liabilities, net $ 1,092,217
Convertible note, long term five [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 15.00%  
Maturity date Jul. 10, 2028  
Total financial liabilities, net $ 546,109
Short-Term Loan, Net One [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 15.70%  
Maturity date Mar. 01, 2023  
Total financial liabilities, net 298,838
Prefunded Convertible Note, Long Term, One [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 20.00%  
Maturity date Aug. 18, 2024  
Total financial liabilities, net 2,151,128
Prefunded Convertible Note, Long Term, Two [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 20.00%  
Maturity date Oct. 09, 2024  
Total financial liabilities, net 3,136,796
Prefunded Convertible Note, Long Term, Three [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 20.00%  
Maturity date Dec. 08, 2024  
Total financial liabilities, net 5,115,616
Term Loan, Net, One [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 10.25%  
Maturity date Jan. 21, 2024  
Total financial liabilities, net $ 133,036 1,731,730
Term Loan, Net, Two [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 10.25%  
Maturity date Dec. 17, 2024  
Total financial liabilities, net $ 3,260,290 6,521,082
Term Loan, Net, Three [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 10.25%  
Maturity date Dec. 11, 2025  
Total financial liabilities, net $ 1,351,265 1,947,063
Term Loan, Net, Four [Member]    
Short-Term and Long-Term Financial Liabilities (Details) - Schedule of Borrowings [Line Items]    
Contractual interest rate % 10.25%  
Maturity date Oct. 11, 2025  
Total financial liabilities, net $ 1,892,433 $ 2,771,901