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Derivative Liability (Details) - Schedule of Movement in Derivative Liability - USD ($)
Dec. 31, 2023
Dec. 31, 2022
Schedule of Movement in Derivative Liability [Abstract]    
Opening balance $ 2,550,642 $ 407,161
Derivative financial liability arising from convertible note and warrants 385,000 238,182
Derivative financial liability arising on note amendment included in loss on convertible notes 2,317,051
Fair value adjustment to derivative liability (1,501,446) (411,752)
Total $ 1,434,196 $ 2,550,642