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Disclosure on individual items of the consolidated financial statements (Details) - Schedule of provides the carrying amounts and fair values
$ in Thousands
12 Months Ended
Dec. 31, 2022
USD ($)
Dec. 31, 2021
USD ($)
Assets    
Book value $ 52,462 $ 111,326
Fair Value 52,462 111,326
Liabilities    
Book value 17,902 32,076
Fair Value $ 14,425 30,010
Cash and cash equivalents [Member]    
Assets    
Amortized Cost At amortized cost  
Fair Value Hierarchy 3  
Book value $ 34,441 101,813
Fair Value $ 34,441 101,813
Trade receivables [Member]    
Assets    
Amortized Cost At amortized cost  
Fair Value Hierarchy 3  
Book value $ 13,897 7,424
Fair Value $ 13,897 7,424
Other investments [Member]    
Assets    
Amortized Cost At amortized cost  
Fair Value Hierarchy 3  
Book value $ 3,199 1,944
Fair Value $ 3,199 1,944
Other financial receivables (short term) [Member]    
Assets    
Amortized Cost At amortized cost  
Fair Value Hierarchy 3  
Book value $ 921 141
Fair Value $ 921 141
Other financial receivables (long term) [Member]    
Assets    
Amortized Cost At amortized cost  
Fair Value Hierarchy 3  
Book value $ 4 4
Fair Value $ 4 4
Warrant liabilities - private [Member]    
Liabilities    
Amortized Cost Fair value through P&L  
Fair Value Hierarchy 2  
Book value $ 1,091 5,215
Fair Value $ 1,091 5,215
Warrant liabilities - public [Member]    
Liabilities    
Amortized Cost Fair value through P&L  
Fair Value Hierarchy 1  
Book value $ 1,348 7,552
Fair Value $ 1,348 7,552
Loans and borrowings (short term) [Member]    
Liabilities    
Amortized Cost At amortized cost  
Fair Value Hierarchy 3  
Book value 7,522
Fair Value 7,522
Trade payables (short term) [Member]    
Liabilities    
Amortized Cost At amortized cost  
Fair Value Hierarchy 3  
Book value $ 10,012 6,265
Fair Value $ 10,012 6,265
Trade payables due to related parties (short term) [Member]    
Liabilities    
Amortized Cost At amortized cost  
Fair Value Hierarchy 3  
Book value $ 1,821 2,980
Fair Value $ 1,821 2,980
Lease liabilities (long term) [Member]    
Liabilities    
Amortized Cost At amortized cost  
Fair Value Hierarchy 3  
Book value $ 2,635 1,537
Fair Value
Lease liabilities (short term) [Member]    
Liabilities    
Amortized Cost At amortized cost  
Fair Value Hierarchy 3  
Book value $ 842 528
Fair Value
Other payables financial (short term) [Member]    
Liabilities    
Amortized Cost At amortized cost  
Fair Value Hierarchy 3  
Book value $ 153 476
Fair Value $ 153 $ 476