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Financial Risk Management (Details) - USD ($)
6 Months Ended 12 Months Ended
Sep. 30, 2025
Mar. 31, 2025
Mar. 31, 2025
Mar. 31, 2024
Financial Risk Management [Line Items]        
Risk free rate     3.80% 3.80%
Expected volatility of range     81.89% 81.89%
Recurring fair value measurements (in Dollars)    
Gearing ratio in percentage 92.00% 85.00%    
Black-Scholes Pricing Model [Member] | Bottom of range [member]        
Financial Risk Management [Line Items]        
Risk free rate      
Black-Scholes Pricing Model [Member] | Top of range [member]        
Financial Risk Management [Line Items]        
Expected volatility of range     51.57%  
Binomial Option Pricing Model [Member]        
Financial Risk Management [Line Items]        
Risk free rate      
Binomial Option Pricing Model [Member] | Bottom of range [member]        
Financial Risk Management [Line Items]        
Expected volatility of range     52.92%  
Binomial Option Pricing Model [Member] | Top of range [member]        
Financial Risk Management [Line Items]        
Expected volatility of range     88.84%