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Short-term Notes (Details) - USD ($)
3 Months Ended 12 Months Ended
Mar. 31, 2025
Dec. 31, 2024
Short-Term Debt [Line Items]    
Principal Amount $ 2,369,297  
Unamortized debt discount  
Short-term notes 2,718,001 $ 2,575,123
Accrued interest $ 348,704  
L X T Biotech [Member]    
Short-Term Debt [Line Items]    
Interest rate 6.00%  
Maturity date On Demand  
Principal Amount $ 92,606  
Accrued interest 33,185  
Unamortized debt discount  
Short-term notes $ 125,791 124,309
Mirage Realty 1 [Member]    
Short-Term Debt [Line Items]    
Interest rate 18.00%  
Maturity date May 15, 2025  
Principal Amount $ 600,000  
Accrued interest 13,500  
Unamortized debt discount  
Short-term notes $ 613,500 613,500
Third Party [Member]    
Short-Term Debt [Line Items]    
Interest rate 12.00%  
Maturity date On demand  
Principal Amount $ 239,691  
Accrued interest 19,528  
Unamortized debt discount  
Short-term notes $ 259,219 251,899
Revolving Line Of Credit [Member]    
Short-Term Debt [Line Items]    
Interest rate 120.00%  
Maturity date August 13, 2024  
Principal Amount $ 101,000  
Accrued interest 85,672  
Unamortized debt discount  
Short-term notes $ 186,672 162,576
Revolving Line Of Credit 1 [Member]    
Short-Term Debt [Line Items]    
Interest rate 120.00%  
Maturity date September 30, 2024  
Principal Amount $ 181,000  
Accrued interest 136,715  
Unamortized debt discount  
Short-term notes $ 317,715 258,589
Series R Promissory Notes [Member]    
Short-Term Debt [Line Items]    
Interest rate 7.50%  
Maturity date March 31, 2025  
Principal Amount $ 1,155,000  
Accrued interest 60,104  
Unamortized debt discount  
Short-term notes $ 1,215,104 $ 1,164,250