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Fair Value of Financial Instruments - Schedule of Fair Value Financial Instruments (Details) - Recurring - USD ($)
Jun. 30, 2024
Dec. 31, 2023
Fair Value - Assets    
Short-term investments $ 34,424 $ 2,206,555
Contingent consideration receivable, related party   268,000
Contingent earn-out receivable, related party 2,720,000 1,720,000
Level 1    
Fair Value - Assets    
Short-term investments 34,424 2,206,555
Level 3    
Fair Value - Assets    
Contingent consideration receivable, related party   268,000
Contingent earn-out receivable, related party 2,720,000 $ 1,720,000
Convertible promissory note, related party    
Fair Value - Liabilities    
Convertible & Non-convertible promissory note, related party 1,940,000  
Convertible promissory note, related party | Level 3    
Fair Value - Liabilities    
Convertible & Non-convertible promissory note, related party 1,940,000  
Non-convertible promissory note, related party    
Fair Value - Liabilities    
Convertible & Non-convertible promissory note, related party 740,000  
Non-convertible promissory note, related party | Level 3    
Fair Value - Liabilities    
Convertible & Non-convertible promissory note, related party $ 740,000