Annual report pursuant to Section 13 and 15(d)

Notes Payable (Details) - Schedule of notes payable consisted

v3.23.1
Notes Payable (Details) - Schedule of notes payable consisted - USD ($)
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Notes Payable (Details) - Schedule of notes payable consisted [Line Items]    
Convertible secured debentures $ 36,530,320
RCB Equities #1, LLC term loan credit agreement 14,708,333
Contingently convertible promissory notes:    
Contingently convertible promissory notes total 36,530,320 27,958,333
Less: debt discount, net (20,608,202)
Less: current portion (13,250,000)
Total notes payable – long-term 15,922,118 14,708,333
Schlumberger Technology Corp.[Member]    
Contingently convertible promissory notes:    
Contingently convertible promissory notes total 1,500,000
Transocean Inc. [Member]    
Contingently convertible promissory notes:    
Contingently convertible promissory notes total 1,500,000
Goradia Capital LLC [Member]    
Contingently convertible promissory notes:    
Contingently convertible promissory notes total 5,000,000
Material Impact Fund II, LP [Member]    
Contingently convertible promissory notes:    
Contingently convertible promissory notes total 5,000,000
In-Q-Tel, Inc. [Member]    
Contingently convertible promissory notes:    
Contingently convertible promissory notes total $ 250,000