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Segment Information, Reconciliation of Total Segment Assets to Total Assets (Details) - USD ($)
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Segment Information [Abstract]      
Total assets $ 797,358,441 $ 797,376,921  
Cash and cash equivalents 151,775,129 87,896,786 $ 111,383,645
Equity method investments 50,045,840 50,503,722 0
Equity method investments measured at fair value (related party) 139,745,917 115,455,048 $ 0
Asset Management Segment [Member]      
Segment Information [Abstract]      
Equity method investments 50,045,840 50,503,722  
Equity method investments measured at fair value (related party) 112,923,194 115,455,048  
Operating Segment [Member] | Dry Bulk Segment [Member]      
Segment Information [Abstract]      
Total assets 164,200,986 194,561,173  
Operating Segment [Member] | Containership Segment [Member]      
Segment Information [Abstract]      
Total assets 16,926,037 54,030,862  
Operating Segment [Member] | Asset Management Segment [Member]      
Segment Information [Abstract]      
Total assets [1] 331,442,985 308,393,047  
Segment Reconciling Items [Member]      
Segment Information [Abstract]      
Cash and cash equivalents [2] 110,624,550 53,677,612  
Prepaid expenses and other assets [2] $ 174,163,883 $ 186,714,227  
[1] The asset management segment contains the amounts of $50,503,722 and $50,045,840 in equity method investments for the years ended December 31, 2024 and 2025, respectively, and the amount of $115,455,048 and $112,923,194 in equity method investments measured at fair value for the years ended December 31, 2024 and 2025, respectively,
[2] Refers to assets of other, non-vessel owning, entities included in the consolidated financial statements.