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Share-Based Compensation - Schedule of Activities of Original Option Units (Details) - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2024
Dec. 31, 2023
Original Option Units [Member]      
Schedule of Activities of Original Option Units [Line Items]      
Number of Units, Ending (in Shares) 27,261,398 19,957,442 27,261,398
Weighted average exercise price, Ending $ 0.38 $ 0.4 $ 0.38
Weighted average grant date fair value, Ending $ 0.33 $ 0.32 $ 0.33
Weighted average remaining contractual years, Ending 5 years 10 months 17 days 4 years 10 months 17 days  
Aggregate intrinsic value, Ending (in Dollars) $ 5,247,567 $ 71,540 $ 5,247,567
Number of Units, Expected to be vested (in Shares)   19,957,442  
Weighted average exercise price, Expected to be vested   $ 0.4  
Weighted average grant date fair value, Expected to be vested   $ 0.32  
Weighted average remaining contractual years, Expected to be vested   4 years 10 months 17 days  
Aggregate intrinsic value, Expected to be vested (in Dollars)   $ 71,540  
Number of Units, Exercisable (in Shares)   17,000,880  
Weighted average exercise price, Exercisable   $ 0.32  
Weighted average grant date fair value, Exercisable   $ 0.24  
Weighted average remaining contractual years, Exercisable   4 years 5 months 23 days  
Aggregate intrinsic value, Exercisable (in Dollars)   $ 71,110  
Number of Units, Granted (in Shares)   174,318  
Weighted average exercise price, Granted   $ 0.24  
Weighted average grant date fair value, Granted    
Weighted average remaining contractual years, Granted    
Aggregate intrinsic value, Granted (in Dollars)    
Number of Units, Forfeited (in Shares)   (1,746,791)  
Weighted average exercise price, Forfeited   $ 0.77  
Weighted average grant date fair value, Forfeited    
Weighted average remaining contractual years, Forfeited    
Aggregate intrinsic value, Forfeited (in Dollars)    
Number of Units, Exercised (in Shares)   (5,731,483)  
Weighted average exercise price, Exercised   $ 0.2  
Weighted average grant date fair value, Exercised    
Weighted average remaining contractual years, Exercised    
Aggregate intrinsic value, Exercised (in Dollars)    
Original Additional Option Units [Member]      
Schedule of Activities of Original Option Units [Line Items]      
Number of Units, Ending (in Shares) 892,126 528,942 892,126
Weighted average exercise price, Ending $ 0.78 $ 0.82 $ 0.78
Weighted average grant date fair value, Ending $ 0.55 $ 0.58 $ 0.55
Weighted average remaining contractual years, Ending 4 months 20 days 10 days  
Aggregate intrinsic value, Ending (in Dollars)
Number of Units, Expected to be vested (in Shares)   528,942  
Weighted average exercise price, Expected to be vested   $ 0.82  
Weighted average grant date fair value, Expected to be vested   $ 0.58  
Weighted average remaining contractual years, Expected to be vested   10 days  
Aggregate intrinsic value, Expected to be vested (in Dollars)    
Number of Units, Exercisable (in Shares)   526,010  
Weighted average exercise price, Exercisable   $ 0.82  
Weighted average grant date fair value, Exercisable   $ 0.58  
Weighted average remaining contractual years, Exercisable   10 days  
Aggregate intrinsic value, Exercisable (in Dollars)    
Weighted average exercise price, Granted    
Weighted average grant date fair value, Granted    
Weighted average remaining contractual years, Granted    
Aggregate intrinsic value, Granted (in Dollars)    
Number of Units, Forfeited (in Shares)   (297,361)  
Weighted average exercise price, Forfeited   $ 0.75  
Weighted average grant date fair value, Forfeited    
Weighted average remaining contractual years, Forfeited    
Aggregate intrinsic value, Forfeited (in Dollars)    
Number of Units, Exercised (in Shares)   (65,823)  
Weighted average exercise price, Exercised   $ 0.6  
Weighted average grant date fair value, Exercised    
Weighted average remaining contractual years, Exercised    
Aggregate intrinsic value, Exercised (in Dollars)    
Restricted Share Units [Member]      
Schedule of Activities of Original Option Units [Line Items]      
Number of Units, Ending (in Shares) 15,046,408 13,545,875 15,046,408
Weighted average exercise price, Ending $ 0.01 $ 0 $ 0.01
Weighted average grant date fair value, Ending $ 0.55 $ 0.62 $ 0.55
Weighted average remaining contractual years, Ending  
Aggregate intrinsic value, Ending (in Dollars) $ 7,584,563 $ 2,786,010 $ 7,584,563
Number of Units, Expected to be vested (in Shares)   13,545,875  
Weighted average exercise price, Expected to be vested   $ 0  
Weighted average grant date fair value, Expected to be vested   $ 0.62  
Weighted average remaining contractual years, Expected to be vested    
Aggregate intrinsic value, Expected to be vested (in Dollars)   $ 2,786,010  
Number of Units, Granted (in Shares)   9,184,482
Weighted average exercise price, Granted    
Weighted average grant date fair value, Granted    
Weighted average remaining contractual years, Granted    
Aggregate intrinsic value, Granted (in Dollars)    
Number of Units, Forfeited (in Shares)   (1,069,052)  
Weighted average exercise price, Forfeited    
Weighted average grant date fair value, Forfeited    
Weighted average remaining contractual years, Forfeited    
Aggregate intrinsic value, Forfeited (in Dollars)    
Number of Units, Exercised (in Shares)   (431,481)  
Weighted average exercise price, Exercised    
Weighted average grant date fair value, Exercised    
Weighted average remaining contractual years, Exercised    
Aggregate intrinsic value, Exercised (in Dollars)