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Fair Value of Financial Instruments - Schedule of Fair Value of The Conversion Features of The Convertible Notes (Details)
Dec. 31, 2024
Nov. 15, 2024
Dec. 31, 2023
Term [Member]      
Schedule of Fair Value of the Conversion Features of the Convertible Notes [Line Items]      
Derivative liability, measurement input 2.92 2 2.88
Term [Member] | Issuance Date [Member]      
Schedule of Fair Value of the Conversion Features of the Convertible Notes [Line Items]      
Derivative liability, measurement input 3    
Expected volatility [Member]      
Schedule of Fair Value of the Conversion Features of the Convertible Notes [Line Items]      
Derivative liability, measurement input 83.2 75 40.7
Expected volatility [Member] | Issuance Date [Member]      
Schedule of Fair Value of the Conversion Features of the Convertible Notes [Line Items]      
Derivative liability, measurement input 82.4    
Risk-free interest rate [Member]      
Schedule of Fair Value of the Conversion Features of the Convertible Notes [Line Items]      
Derivative liability, measurement input 4.27 4.22 3.96
Risk-free interest rate [Member] | Issuance Date [Member]      
Schedule of Fair Value of the Conversion Features of the Convertible Notes [Line Items]      
Derivative liability, measurement input 4.25    
Expected dividend yield [Member]      
Schedule of Fair Value of the Conversion Features of the Convertible Notes [Line Items]      
Derivative liability, measurement input
Expected dividend yield [Member] | Issuance Date [Member]      
Schedule of Fair Value of the Conversion Features of the Convertible Notes [Line Items]      
Derivative liability, measurement input    
Stock price [Member]      
Schedule of Fair Value of the Conversion Features of the Convertible Notes [Line Items]      
Derivative liability, measurement input   1 2.03