XML 59 R47.htm IDEA: XBRL DOCUMENT v3.22.2.2
Loans Payable (Details) - Schedule of outstanding debt with detachable warrants - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2022
Dec. 31, 2021
Loans Payable (Details) - Schedule of outstanding debt with detachable warrants [Line Items]    
Issuance Date Total debt, gross Total debt, gross
Total debt, gross $ 19,274 $ 7,185
Total debt, gross 5,194,495 588,236
Issuance Date   Fair value (B)
Fair value   $ (166)
Total debt, gross   $ 7,019
Issuance Date Debt discount Debt discount
Debt discount $ (3,796) $ (144)
Issuance Date Total debt, net Total debt, net
Total debt, net $ 15,478 $ 6,875
Issuance Date Less current maturities Less current maturities
Less current maturities $ (2,089)
Issuance Date Long term debt Long term debt
Long term debt $ 13,389 $ 6,875
2/17/2022 [Member]    
Loans Payable (Details) - Schedule of outstanding debt with detachable warrants [Line Items]    
Debt Type A  
Issuance Date Feb. 17, 2022  
Principal $ 10,000  
Maturity Date Feb. 15, 2025  
Warrants 2,500,000  
Interest Rate Information [1] 8.0% interest(1)  
2/17/2022 [Member]    
Loans Payable (Details) - Schedule of outstanding debt with detachable warrants [Line Items]    
Debt Type B  
Issuance Date Feb. 17, 2022  
Principal $ 2,089  
Maturity Date Feb. 17, 2023  
Warrants  
Interest Rate Information [2] 0.59% interest (2)  
2/17/2022 [Member]    
Loans Payable (Details) - Schedule of outstanding debt with detachable warrants [Line Items]    
Debt Type C  
Issuance Date Feb. 17, 2022  
Principal $ 7,185  
Maturity Date Feb. 15, 2025  
Warrants 2,694,495  
Interest Rate Information [3] 10.0% interest(3)  
8/17/2016 [Member]    
Loans Payable (Details) - Schedule of outstanding debt with detachable warrants [Line Items]    
Debt Type   D
Issuance Date   Aug. 17, 2016
Principal   $ 4,767
Maturity Date   Feb. 17, 2025
Warrants   588,236
Interest Rate Information [4]   8.0% interest(4)
12/30/2019 [Member]    
Loans Payable (Details) - Schedule of outstanding debt with detachable warrants [Line Items]    
Debt Type   E
Issuance Date   Dec. 30, 2019
Principal   $ 2,418
Maturity Date   Feb. 17, 2025
Warrants  
Interest Rate Information [4]   10.0% interest(4)
[1] 8.0% cash interest per annum through maturity at February 15, 2025.
[2] 0.59% cash interest per annum (the applicable federal rate) through maturity at February 17, 2023.
[3] 10.0% cash interest per annum through maturity at February 15, 2025.
[4] Interest was paid-in-kind (“PIK”) through October 2021, at which point interest became payable in cash at the stated interest rates through maturity.