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Liquidity, Going Concern, and Restatement - Schedule of Impact of the Restatement (Details) - USD ($)
3 Months Ended 12 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Condensed Financial Statements, Captions [Line Items]          
Property and equipment, net       $ 569,278  
Prepayment for asset acquisition $ 691,900   $ 691,900 691,900  
Total Assets 14,875,699   7,539,907 7,784,499  
Accrued expenses and other current liabilities 3,826,819   3,509,422 3,548,352  
Convertible notes payable – third parties, net       886,522  
Current Liabilities 6,730,739   6,557,461 6,101,889  
Total Liabilities 6,919,404   6,815,948 6,531,026  
Additional paid-in capital       73,978,380  
Total stockholders’ equity 5,404,386   1,226,140 1,554,110  
Noncontrolling interest 2,551,909   (502,181) (300,637)  
Total Equity 7,956,295 $ 1,458,470 723,959 1,253,473 $ 3,236,139
Total Liabilities and Equity 14,875,699   7,539,907 7,784,499  
Stock based compensation 48,773 2,031,631 2,773,460 185,933  
Interest expenses       (1,313,671)  
Net loss attributable to noncontrolling interests (102,115) (93,468) (356,159) (492,794)  
Net loss $ (944,190) $ (2,927,667) $ (5,259,037) $ (8,280,844)  
Basic net loss per common share (in Dollars per share) $ (0.06) $ (0.29) $ (0.42) $ (1.8)  
Diluted net loss per common share (in Dollars per share) $ (0.06) $ (0.29) $ (0.42) $ (1.8)  
Net income (loss) $ (944,190) $ (2,927,667) $ (5,259,037) $ (8,280,844)  
Stock-based compensation 48,773 2,031,631 2,773,460 185,933  
Other non-cash income and expenses 210,040 176,283 532,769 1,244,245  
Accrued expenses and other current liabilities 40,113 (43,605) 152,819 638,762  
Due to related parties        
Net cash used in operating activities       (4,186,848)  
Due to related parties     599,552 (186,499) [1]  
Proceeds from subsidiary’s executive contribution       137,500  
Net cash provided by financing activities       3,869,961  
Effect of exchange rate changes on cash and cash equivalents and restricted cash       2,123  
Purchase of Property and equipment by issuing common stock to a third party        
Prepayment for asset acquisition by issuing common stock to a third party     691,900  
Issuance of common stock for conversion of debt 47,579 467,574 593,714 1,786,686  
Related Party [Member]          
Condensed Financial Statements, Captions [Line Items]          
Due to related parties $ 819,384   $ 773,045 173,493  
As Reported [Member]          
Condensed Financial Statements, Captions [Line Items]          
Property and equipment, net   7,949,150   7,969,278  
Prepayment for asset acquisition      
Total Assets   14,460,402   14,492,599  
Accrued expenses and other current liabilities   4,050,845   3,696,380  
Convertible notes payable – third parties, net   842,567   569,456  
Current Liabilities   6,633,614   5,932,490  
Total Liabilities   6,973,447   6,361,627  
Additional paid-in capital   86,029,237   82,636,966  
Total stockholders’ equity   7,792,076   8,388,050  
Noncontrolling interest   (305,121)   (257,078)  
Total Equity   7,486,955   8,130,972  
Total Liabilities and Equity   14,460,402   14,492,599  
Stock based compensation   2,544,995   1,635,708  
Interest expenses   (684,683)   (2,493,340)  
Net loss attributable to noncontrolling interests   $ (48,043)   (394,632)  
Net loss       $ (10,910,288)  
Basic net loss per common share (in Dollars per share)   $ (0.4)   $ (2.43)  
Diluted net loss per common share (in Dollars per share)   $ (0.4)   $ (2.43)  
Net income (loss)       $ (10,910,288)  
Stock-based compensation   $ 2,544,995   1,635,708  
Other non-cash income and expenses   672,016   2,413,746  
Accrued expenses and other current liabilities   354,465   786,793  
Due to related parties   128,840   (186,860)  
Net cash used in operating activities       (4,235,845)  
Due to related parties [1]        
Proceeds from subsidiary’s executive contribution        
Net cash provided by financing activities       3,918,960  
Effect of exchange rate changes on cash and cash equivalents and restricted cash   (260,783)   2,125  
Purchase of Property and equipment by issuing common stock to a third party       7,400,000  
Prepayment for asset acquisition by issuing common stock to a third party        
Issuance of common stock for conversion of debt   681,000   3,306,112  
As Reported [Member] | Related Party [Member]          
Condensed Financial Statements, Captions [Line Items]          
Due to related parties   301,972   173,132  
Adjustments [Member]          
Condensed Financial Statements, Captions [Line Items]          
Property and equipment, net   (7,400,000)   (7,400,000)  
Prepayment for asset acquisition   691,900   691,900  
Total Assets   (6,484,392)   (6,708,100)  
Accrued expenses and other current liabilities   (605,178)   (148,028)  
Convertible notes payable – third parties, net   29,769   317,066  
Current Liabilities   (455,908)   169,399  
Total Liabilities   (455,908)   169,399  
Additional paid-in capital   (9,025,036)   (8,658,586)  
Total stockholders’ equity   (6,092,525)   (6,833,940)  
Noncontrolling interest   64,040   (43,559)  
Total Equity   (6,028,485)   (6,877,499)  
Total Liabilities and Equity   (6,484,393)   (6,708,100)  
Stock based compensation   (513,364)   (1,449,775)  
Interest expenses   503,007   1,179,669  
Net loss attributable to noncontrolling interests   $ (45,425)   (98,162)  
Net loss       $ 2,629,444  
Basic net loss per common share (in Dollars per share)   $ 0.11   $ 0.63  
Diluted net loss per common share (in Dollars per share)   $ 0.11   $ 0.63  
Net income (loss)       $ 2,629,444  
Stock-based compensation   $ (513,364)   (1,449,775)  
Other non-cash income and expenses   (495,736)   (1,169,501)  
Accrued expenses and other current liabilities   (398,070)   (148,031)  
Due to related parties   (128,840)   186,860  
Net cash used in operating activities       (48,997)  
Due to related parties [1]       (186,499)  
Proceeds from subsidiary’s executive contribution       137,500  
Net cash provided by financing activities       (48,999)  
Effect of exchange rate changes on cash and cash equivalents and restricted cash   234,674   (2)  
Purchase of Property and equipment by issuing common stock to a third party       (7,400,000)  
Prepayment for asset acquisition by issuing common stock to a third party       691,600  
Issuance of common stock for conversion of debt   213,426   (1,519,426)  
Adjustments [Member] | Related Party [Member]          
Condensed Financial Statements, Captions [Line Items]          
Due to related parties   $ 89,502   $ 361  
[1] Due to related parties previously reported amount was reclassified to financing activities based on current year’s presentation.