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FAIR VALUE MEASUREMENTS - Financial Assets and Liabilities Measured at Fair Value (Details) - Recurring - USD ($)
$ in Thousands
Jun. 30, 2025
Dec. 31, 2024
FAIR VALUE MEASUREMENTS    
Total financial assets $ 12,521 $ 7,305
Total financial liabilities 3,393 34,891
Long-Term Loan    
FAIR VALUE MEASUREMENTS    
Total financial liabilities   28,923
Orbimed Warrant liability    
FAIR VALUE MEASUREMENTS    
Total financial liabilities 43 72
Pre-funded warrant liability    
FAIR VALUE MEASUREMENTS    
Total financial liabilities 3,350 5,896
U.S. treasury notes    
FAIR VALUE MEASUREMENTS    
Total financial assets 12,521 7,305
Level 2    
FAIR VALUE MEASUREMENTS    
Total financial assets 12,521 7,305
Total financial liabilities 3,350 5,896
Level 2 | Pre-funded warrant liability    
FAIR VALUE MEASUREMENTS    
Total financial liabilities 3,350 5,896
Level 2 | U.S. treasury notes    
FAIR VALUE MEASUREMENTS    
Total financial assets 12,521 7,305
Level 3    
FAIR VALUE MEASUREMENTS    
Total financial liabilities 43 28,995
Level 3 | Long-Term Loan    
FAIR VALUE MEASUREMENTS    
Total financial liabilities   28,923
Level 3 | Orbimed Warrant liability    
FAIR VALUE MEASUREMENTS    
Total financial liabilities $ 43 $ 72