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Business Combination - Schedule of Business Combination to the Consolidated Statements of Cash Flows and Stockholder's Equity (Details) - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Schedule of Business Combination to the Consolidated Statements of Cash Flows and Stockholder's Equity [Abstract]    
Cash-Trust Account, net of redemptions   $ 8,251,024
Less: transaction costs and professional fees, paid directly from Trust Account   (4,270,760)
Net proceeds received from Trust 3,980,264
Less: private placement warrant liabilities   (350,000)
Less: related party notes   (2,558,340)
Less: accounts payable and accrued expenses   (2,113,096)
Reverse recapitalization, net   $ (1,041,172)