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Liquidity Risk (Details) - Schedule of Contractual Undiscounted Cash Flow Requirements for Financial Liabilities - USD ($)
Jun. 30, 2024
Dec. 31, 2023
Dec. 31, 2022
Mar. 31, 2015
Schedule of Contractual Undiscounted Cash Flow Requirements for Financial Liabilities [Line Items]        
Accounts payable $ 1,242,237 $ 1,394,117 $ 2,845,381  
Promissory note 1,211,463 1,211,463 1,211,463 $ 1,400,000
Related Party [Member]        
Schedule of Contractual Undiscounted Cash Flow Requirements for Financial Liabilities [Line Items]        
Promissory note 1,211,463 1,211,463 1,211,463  
Total 2,453,700 2,605,580 4,056,844  
≤1 Year [Member]        
Schedule of Contractual Undiscounted Cash Flow Requirements for Financial Liabilities [Line Items]        
Accounts payable 1,242,237 1,394,117 2,845,381  
≤1 Year [Member] | Related Party [Member]        
Schedule of Contractual Undiscounted Cash Flow Requirements for Financial Liabilities [Line Items]        
Promissory note 1,211,463 1,211,463 1,211,463  
Total 2,453,700 2,605,580 4,056,844  
>1 Year [Member]        
Schedule of Contractual Undiscounted Cash Flow Requirements for Financial Liabilities [Line Items]        
Accounts payable  
>1 Year [Member] | Related Party [Member]        
Schedule of Contractual Undiscounted Cash Flow Requirements for Financial Liabilities [Line Items]        
Promissory note 911,463  
Total $ 911,463