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COMMITMENTS - Exchange Note Exchange Financing (Details)
12 Months Ended
Nov. 21, 2023
USD ($)
$ / shares
Dec. 31, 2023
USD ($)
D
$ / shares
Debt instruments    
Share price trigger to determine reset of conversion price | $ / shares $ 3  
Exchange Note    
Debt instruments    
Number of trading days to determine amortization payment | D   10
Aggregate current value $ 3,723,744  
Change in fair value   $ (97,814)
Exchange Note | Bridge Investor | Exchange Agreement    
Debt instruments    
Aggregate principal amount $ 2,523,744 $ 2,523,744
Interest rate (in percent) 8.00% 8.00%
Conversion price of convertible notes | $ / shares $ 10.00 $ 10
Share price trigger to determine reset of conversion price | $ / shares   $ 10.00
Threshold percentage of stock price trigger to determine reset of conversion price   95.00%
Maximum reset of conversion price (in dollars per share) | $ / shares   $ 2.0
Threshold percentage of stock price trigger to determine amortization conversion price   95.00%
Number of trading days to determine amortization payment | D   10
Minimum conversion price to make amortization payment | $ / shares   $ 2.00
Aggregate current value $ 2,523,744 $ 2,621,558
Interest expenses- Bridge Note   22,433
Change in fair value   97,814
VSee Note | Bridge Investor | Exchange Agreement    
Debt instruments    
Nonexchangeable principal amount of note   600,000.00
iDoc Note | Bridge Investor | Exchange Agreement    
Debt instruments    
Nonexchangeable principal amount of note   $ 600,000.00