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Financial Instruments (Details) - USD ($)
$ / shares in Units, $ in Thousands
Sep. 08, 2020
Mar. 19, 2020
Dec. 31, 2022
Apr. 17, 2020
Jan. 15, 2020
Financial Instruments (Details) [Line Items]          
Bridge loan amount         $ 50
Interest payable       $ 2  
Aggregate amount or credit amount $ 200        
Credit facility amount 100        
Credit facility and remaining available drawn amount $ 100        
Loan amount due term 1 year        
Loan amount raised $ 1,500        
Description of Issuance of convertible debentures The Lender was entitled to a transaction and interest fee of $5 (plus VAT) that was offset from the Credit Facility for the immediately drawn $100 and 5% from any additional withdrawal amount from the Credit Facility. On November 24, 2020, the Loan Amount was fully repaid by the Company.        
Cash paid for principal amount   $ 350      
Purchase price   $ 315      
Issued of warrant (in Shares)   314,285 123,504    
Maturity date   Mar. 23, 2021      
Interest rate   12.00%      
Initial conversion price (in Dollars per share)   $ 0.35      
Conversion price   70.00%      
Ordinary share exercise price (in Dollars per share)   $ 0.35      
Private Placement [Member]          
Financial Instruments (Details) [Line Items]          
Cash paid for principal amount   $ 220      
Purchase price   $ 198      
ADSs [Member]          
Financial Instruments (Details) [Line Items]          
Issued of warrant (in Shares)   40,000