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CONSOLIDATED STATEMENTS OF FINANCIAL POSITION - USD ($)
$ in Thousands
Jun. 30, 2025
Dec. 31, 2024
ASSETS:    
Cash and cash equivalents $ 67,912 $ 69,345
Restricted cash 251 271
Short-term deposits 10,087
Trade receivables, net 3,871 4,596
Inventory 4,190 4,426
Other current financial assets 949
Other current assets 1,771 1,032
Total current assets 89,031 79,670
NON-CURRENT ASSETS:    
Other non-current financial assets 5,459
System components 2,641 1,707
Leased systems, net 4,403 3,959
Other property and equipment, net 812 752
Right-of-use assets 5,318 5,530
Other long-term assets 3,900 2,698
Total non-current assets 22,533 14,646
Total assets 111,564 94,316
CURRENT LIABILITIES:    
Trade payables 1,209 2,868
Deferred revenues 15,646 4,434
Liability in respect of government grants 1,401 1,293
Current maturities of lease liabilities 911 824
Other accounts payable 6,341 5,927
Total current liabilities 25,508 15,346
NON-CURRENT LIABILITIES:    
Deferred revenues 7,104 3,625
Liability in respect of government grants 5,601 5,803
Lease liabilities 5,219 4,800
Warrants liability 2,429
Total non-current liabilities 17,924 16,657
EQUITY:    
Ordinary share value 415 413
Share premium 158,398 157,597
Reserve for share-based payment 4,628 4,872
Warrants 2,126
Currency translation adjustments (2,188) (2,188)
Accumulated deficit (95,247) (98,381)
Total equity 68,132 62,313
Total equity and liabilities $ 111,564 $ 94,316