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Subscription Agreement - Additional Information (Details) - USD ($)
12 Months Ended
Mar. 11, 2022
Dec. 31, 2022
Schedule Of Capitalization Longterm Debt [Line Items]    
Note receivable   $ 2,601,000
Omlis Limited | Warrant    
Schedule Of Capitalization Longterm Debt [Line Items]    
Warrants expire date Sep. 11, 2023  
Equity shares purchase price per shares $ 33.91  
Change in fair value warrants   0
Investment in warrant equity security   $ 0
Omlis Limited | Warrant | Maximum    
Schedule Of Capitalization Longterm Debt [Line Items]    
Issuance of warrants purchase percentage 8.00%  
Omlis Limited | Note Receivable    
Schedule Of Capitalization Longterm Debt [Line Items]    
Convertible Note amount $ 2,500,000  
Interest rate percentage 5.00%  
Maturity date Mar. 11, 2026  
Discount from effective price per share paid by investors, percentage 20.00%  
Sale of note, description   Omlis granted us a right of first refusal for 18 months with respect to any proposed sale by Omlis of equity securities constituting 20% or more of the outstanding voting power of Omlis or all or substantially all of the assets of Omlis or any of its material subsidiaries.
Note receivable   $ 2,500,000
Accrued Interest   100,000
Debt instrument fair value   $ 2,600,000