Quarterly report pursuant to Section 13 or 15(d)

Segment Information (Details) - Schedule of Segment Information

v3.24.3
Segment Information (Details) - Schedule of Segment Information - USD ($)
3 Months Ended 9 Months Ended
Sep. 30, 2024
Jun. 30, 2024
Mar. 31, 2024
Sep. 30, 2023
Jun. 30, 2023
Mar. 31, 2023
Sep. 30, 2024
Sep. 30, 2023
Dec. 31, 2023
Schedule of Segment Information [Line Items]                  
Revenue, net $ 1,480,792     $ 2,665,190     $ 3,063,652 $ 10,730,145  
Depreciation and amortization 1,246,473     1,300,797     3,586,366 3,752,215  
Interest income 121,608     379     306,385 7,724  
Interest expense 871,335     893,951     2,357,497 3,197,600  
Stock based compensation 311,133     (2,266,875)     988,683 636,350  
Net loss (9,526,268) $ (8,269,736) $ (9,876,084) (7,292,461) $ (8,958,086) $ (14,455,551) (27,672,088) (30,706,098)  
Goodwill 27,751,921     27,671,921     27,751,921 27,671,921  
Capital expenditure 259,386     94,972     1,606,358 94,972  
Total assets 80,158,656     100,645,018     80,158,656 100,645,018 $ 92,164,682
Ondas Networks [Member]                  
Schedule of Segment Information [Line Items]                  
Revenue, net 445,288     2,430,954     1,416,418 5,079,652  
Depreciation and amortization 78,462     36,131     136,193 112,659  
Interest income 13,024     379     142,874 4,058  
Interest expense 451,834     448,448     1,194,017 1,628,151  
Stock based compensation 149,579     291,324     477,673 839,834  
Net loss (3,895,946)     (3,840,184)     (12,586,123) (11,998,183)  
Goodwill          
Capital expenditure 100,650     39,451     1,058,032 39,451  
Total assets 11,328,087     21,842,344     11,328,087 21,842,344  
OAS [Member]                  
Schedule of Segment Information [Line Items]                  
Revenue, net 1,035,504     234,236     1,647,234 5,650,493  
Depreciation and amortization 1,168,011     1,264,666     3,450,173 3,639,556  
Interest income 108,584         163,511 3,666  
Interest expense 419,501     445,503     1,163,480 1,569,449  
Stock based compensation 161,554     (2,558,199)     511,010 (203,484)  
Net loss (5,630,322)     (3,452,277)     (15,085,965) (18,707,915)  
Goodwill 27,751,921     27,671,921     27,751,921 27,671,921  
Capital expenditure 158,736     55,521     548,326 55,521  
Total assets $ 68,830,569     $ 78,802,674     $ 68,830,569 $ 78,802,674