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Consolidated Balance Sheets - USD ($)
Sep. 30, 2025
Dec. 31, 2024
Dec. 31, 2023
Current assets      
Cash $ 75,705 $ 735,814 $ 106,809
Prepaid expenses 186,936 841,637
Employee advance 7,500  
Other receivable   15,000
Franchise tax receivable 125,068 125,068
Total current assets 395,209 1,702,519 121,809
Property, plant and equipment, net 8,050  
Total assets 403,259 1,702,519 121,809
Current liabilities      
Accounts payable 408,286 16,487 11,844
Accrued liabilities 32,428 37,252 88,350
Excise tax payable 2,348,302 2,348,302
Financing payable 67,196 663,582
Earnout shares and sponsor earnout shares liability 590 1,053,084
Warrant liability 2,617,683 1,950,053
Total current liabilities 10,801,685 7,559,310 1,086,383
Convertible notes payable, net of discount, non-current 2,934,543
Total liabilities 10,801,685 10,493,853 1,086,383
Commitments and contingencies
Mezzanine equity      
Series C preferred stock, value 41,170,508 71,809,025 750
Stockholders’ deficit      
Common stock, value 4,196 1,246 350
Additional paid-in capital 49,610,004 13,226,787 2,697,132
Accumulated deficit (101,183,134) (93,828,392) (3,662,806)
Total stockholders’ deficit (51,568,934) (80,600,359) (965,324)
Total liabilities, mezzanine equity and stockholders’ deficit 403,259 1,702,519 121,809
Related Party [Member]      
Current liabilities      
Accrued interest payable to related party 67,520 79,859 22,064
Convertible notes payable 4,934,680 35,000
Note payable - related party, net of discount 1,375,691 $ 964,125
Nonrelated Party [Member]      
Current liabilities      
Convertible notes payable $ 325,000