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DEBT - Narratives (Details) - USD ($)
$ / shares in Units, $ in Thousands
1 Months Ended 3 Months Ended 6 Months Ended
Apr. 30, 2025
Apr. 28, 2025
Dec. 16, 2024
Jun. 25, 2024
Feb. 15, 2024
May 01, 2023
Jun. 09, 2022
Apr. 30, 2025
Feb. 28, 2025
Nov. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Apr. 29, 2025
LONG TERM DEBT                              
Modification of warrants                     $ 102 $ 70 $ 102 $ 70  
Remeasurement of warrant liability recognized income (expense)                     $ (289) 3,462 825 12,643  
Debt instrument, maximum additional interest rate 3.00%                            
Proceeds from borrowings on credit agreement                         $ 31,700    
Orbimed Warrants                              
LONG TERM DEBT                              
Warrant to purchase shares             226,586                
Warrants purchase price             $ 6.62       $ 4   $ 4    
Term of warrant             7 years                
Remeasurement of warrant liability recognized income (expense)                     $ 0 61 $ 29 86  
Pre-funded warrants                              
LONG TERM DEBT                              
Warrant to purchase shares         10,000,400                    
Warrants exercisable                 2,500,100 2,500,100          
Issuance of common stock                 2,499,698 2,499,828          
Remeasurement of warrant liability recognized income (expense)                     289 3,401 796 12,557  
Credit Facility                              
LONG TERM DEBT                              
Loan Facility           $ 25,000                  
Senior Secured Credit Facility                              
LONG TERM DEBT                              
Loan Facility $ 32,500         $ 30,000   $ 32,500             $ 30,000
Term of debt 5 years         4 years                  
Initial Commitment Amount $ 32,500             $ 32,500              
Discretionary amount           $ 10,000                  
Percentage considered for calculation of interest rate           4.50%   4.00%              
Fixed percentage considered for calculation of interest rate           12.50%                  
Loan facility, interest rate           5.00%                  
Warrant to purchase shares       584,882   584,882                  
Warrants purchase price $ 0.8278     $ 2.02   $ 3.334   $ 0.8278              
Term of warrant 7 years         5 years   7 years              
Maximum amount of amount convertible in to common stock $ 2,500   $ 2,000 $ 2,000                      
Conversion price per share     $ 0.865 $ 4.001                      
Common Stock at a conversion price $ 0.9933             $ 0.9933              
Unrestricted Cash in Deposit Accounts           $ 5,000                  
Proceeds allocated to loan           28,215                  
Proceeds allocated to warrants           1,389                  
Company remeasurement expenses                     $ 807 $ 169 $ 1,077 86  
Modification of warrants                           $ 70  
Fair value of warrants $ 1,234             $ 1,234              
Spread on variable rate 7.75%             7.75%              
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration]               us-gaap:SecuredOvernightFinancingRateSofrMember              
Credit spread percentage               11.473%              
Warrants to purchase common stock 2,114,140             2,114,140              
Proceeds from borrowings on credit agreement $ 32,500                            
Option to draw additional amount 17,500             $ 17,500              
Senior Secured Credit Facility | Avenue Lenders                              
LONG TERM DEBT                              
Warrants purchase price   $ 0.7208                          
Maximum amount of amount convertible in to common stock   $ 2                          
Common Stock at a conversion price   $ 0.865                          
Modification of warrants   $ 102                          
Warrants to purchase common stock   584,882                          
Senior Secured Credit Facility | Achievement of certain revenue and gross margin thresholds.                              
LONG TERM DEBT                              
Option to draw additional amount 2,500             2,500              
Senior Secured Credit Facility | Discretion of the agent and the lenders                              
LONG TERM DEBT                              
Option to draw additional amount $ 15,000             $ 15,000              
Senior Secured Credit Facility | Minimum                              
LONG TERM DEBT                              
Warrants purchase price     $ 0.7208 $ 2.02                      
Senior Secured Credit Facility | Maximum                              
LONG TERM DEBT                              
Loan Facility           $ 40,000                  
First Amendment to Loan and Security Agreement                              
LONG TERM DEBT                              
Maximum amount of amount convertible in to common stock         $ 2,000                    
Conversion price per share         $ 4.001                    
Orbimed Loan                              
LONG TERM DEBT                              
Loan Facility             $ 50,000                
Term of debt             5 years                
Initial Commitment Amount             $ 25,000                
Discretionary amount             $ 25,000