v3.25.4
SCHEDULE OF DERIVATIVE LIABILITIES (Details) - USD ($)
3 Months Ended 9 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2025
Dec. 31, 2024
Offsetting Assets [Line Items]        
Total Derivative fair value at end of period $ 5,332,415 $ 1,478,424 $ 5,332,415 $ 1,478,424
Warrant [Member]        
Offsetting Assets [Line Items]        
Beginning balance 1,191,178 301,989 989,852 251,657
Marked to the market 4,141,237 352,320 4,342,563 402,652
Ending fair value 5,332,415 654,309 5,332,415 654,309
Embedded Derivative Financial Instruments [Member]        
Offsetting Assets [Line Items]        
Beginning balance 645,958 1,782,498 36,298
Converted to shares of Common Stock (1,589,352) (1,330)
Remeasurement on change of convertible price (15,633) 17,625 248,292
Redemption (103,786) (8,979) (103,786)
Marked to the market   297,575 $ (201,792) 644,641
Ending fair value   $ 824,115   $ 824,115