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Derivative Liabilities - Schedule of Derivative Liabilities Measured at Fair Value on a Recurring Basis (Details) - USD ($)
9 Months Ended 12 Months Ended
Sep. 30, 2024
Sep. 30, 2023
Dec. 31, 2023
Dec. 31, 2022
Schedule of Derivative Liabilities Measured at Fair Value on a Recurring Basis [Line Items]        
Derivative liabilities - Beginning $ 2,306,796 $ 1,494,200 $ 1,494,200
Fair value - mark to market adjustment     (2,834) 10,312
Fair value - commitment date     954,725 1,483,888
Fair value - mark to market adjustment prior to conversion or reclassification     (149,542)  
Conversion of convertible promissory notes     (1,457,801)  
Reclassification of warrants to equity (838,748) (838,748)
Recognition of contingent milestone liability     2,117,142  
Fair value - mark to market adjustment     189,654  
Derivative liabilities - Ending     2,306,796 1,494,200
Bridge Shares [Member]        
Schedule of Derivative Liabilities Measured at Fair Value on a Recurring Basis [Line Items]        
Derivative liabilities - Beginning 834,352 834,352
Fair value - mark to market adjustment     13,798 10,665
Fair value - commitment date     680,276 823,687
Fair value - mark to market adjustment prior to conversion or reclassification     (105,790)  
Conversion of convertible promissory notes     (1,422,636)  
Reclassification of warrants to equity      
Recognition of contingent milestone liability      
Fair value - mark to market adjustment      
Derivative liabilities - Ending     834,352
Warrants [Member]        
Schedule of Derivative Liabilities Measured at Fair Value on a Recurring Basis [Line Items]        
Derivative liabilities - Beginning 578,164 578,164
Fair value - mark to market adjustment     (15,320) 13,157
Fair value - commitment date     274,449 565,007
Fair value - mark to market adjustment prior to conversion or reclassification     1,455  
Conversion of convertible promissory notes      
Reclassification of warrants to equity     (838,748)  
Recognition of contingent milestone liability      
Fair value - mark to market adjustment      
Derivative liabilities - Ending     578,164
Convertible Notes Payable [Member]        
Schedule of Derivative Liabilities Measured at Fair Value on a Recurring Basis [Line Items]        
Derivative liabilities - Beginning 81,684 81,684
Fair value - mark to market adjustment     (1,312) (13,510)
Fair value - commitment date     95,194
Fair value - mark to market adjustment prior to conversion or reclassification     (45,207)  
Conversion of convertible promissory notes     (35,165)  
Reclassification of warrants to equity      
Recognition of contingent milestone liability      
Fair value - mark to market adjustment      
Derivative liabilities - Ending     81,684
Contingent Milestone Payment [Member]        
Schedule of Derivative Liabilities Measured at Fair Value on a Recurring Basis [Line Items]        
Derivative liabilities - Beginning $ 2,306,796  
Fair value - mark to market adjustment      
Fair value - commitment date      
Fair value - mark to market adjustment prior to conversion or reclassification      
Conversion of convertible promissory notes      
Reclassification of warrants to equity      
Recognition of contingent milestone liability     2,117,142  
Fair value - mark to market adjustment     189,654  
Derivative liabilities - Ending     $ 2,306,796