Registration of securities issued in business combination transactions

Fair Value (Details) - Schedule of Reconciliation of Fair Values

v3.23.4
Fair Value (Details) - Schedule of Reconciliation of Fair Values - Convertible Debt Securities [Member] - USD ($)
9 Months Ended 12 Months Ended
Sep. 30, 2023
Dec. 31, 2022
Fair Value (Details) - Schedule of Reconciliation of Fair Values [Line Items]    
Debt Instrument, Face Amount (in Dollars) $ 6,733,271 $ 14,662,727
Debt Instrument, Convertible, Conversion Price (in Dollars per share) $ 4.75 $ 4.75
Value of Common Stock (in Dollars per share) $ 0.22 $ 0.69
Expected term (years) 1 year 1 year 9 months 18 days
Volatility 102.00% 77.00%
Market yield (range) 41.20%  
Risk free rate 4.70% 4.40%
Fair value issue date October 5, 2021 October 5, 2021
Maturity date October 5, 2024 October 5, 2024
Minimum [Member]    
Fair Value (Details) - Schedule of Reconciliation of Fair Values [Line Items]    
Market yield (range)   44.30%
Maximum [Member]    
Fair Value (Details) - Schedule of Reconciliation of Fair Values [Line Items]    
Market yield (range)   43.90%