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Nature of Operations and Going Concern (Details) - USD ($)
6 Months Ended 12 Months Ended
Sep. 12, 2025
Mar. 24, 2024
Jun. 30, 2025
Jun. 30, 2024
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Apr. 29, 2022
Nature of Operations and Going Concern [Line Items]                
Loss on loss of control of Bophelo Bio Science & Wellness       $ (165,625) $ 198,780    
Cash $ 300,000   $ 2,523,719   3,838,650 82,816    
Gain (loss) from discontinued operations   $ (827,620) 589,292 (405,582) (827,620) (28,562,693)    
Net cash outflow from operating activities     (375,604) $ (2,591,980) (3,980,365) (1,500,574)    
Working capital deficit $ 3,000,000   724,276   1,418,036      
Accumulated losses     (58,253,006)   (57,459,061) $ (53,363,032)    
Wrote down balances              
Bophelo Bio Science and Wellness Pty [Member]                
Nature of Operations and Going Concern [Line Items]                
Wrote down balances receivable              
Loss on loss of control of Bophelo Bio Science & Wellness             2,085,624  
Cash             739,947  
Holigen Limited [Member]                
Nature of Operations and Going Concern [Line Items]                
Ordinary shares, acquired percentage               100.00%
Bophelo Bio Science and Wellness (Pty) Ltd [Member]                
Nature of Operations and Going Concern [Line Items]                
Wrote down balances receivable              
Loss on loss of control of Bophelo Bio Science & Wellness     198,780   198,780   2,085,624  
Cash     105,175   $ 105,175   $ 739,947  
Canmart Ltd. ("Canmart")                
Nature of Operations and Going Concern [Line Items]                
Cash     174          
Gain (loss) from discontinued operations     $ 26,013