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SIGNIFICANT ACCOUNTING POLICIES - Supplemental Cash Flow Information (Details) - USD ($)
$ in Thousands
1 Months Ended 11 Months Ended 12 Months Ended
Sep. 30, 2022
Dec. 31, 2021
Dec. 31, 2022
Supplemental disclosure of non-cash activities:      
Right-of-use asset obtained in exchange for lease obligation   $ 1,076 $ 11,223
Contribution of plant and equipment or deposits on plant and equipment to joint venture   11,850 11,267
Common stock issued for business acquisition   40,590  
Contingent value rights issued for business acquisition   12,000  
Common stock issued in conjunction with debt offering representing debt issuance costs   25,727  
Deferred financing costs in accounts payable or other accrued liabilities     249
Common stock issuance costs in accounts payable     131
Preferred stock issuance costs in other accrued liabilities or accounts payable     293
Purchases of and deposits on plant and equipment in accounts payable, accrued construction liabilities, other accrued liabilities and long-term debt   6,074 8,451
Investment in joint venture in other accrued liabilities, other amounts due to related parties and long-term debt   57 5,203
Series A Preferred Stock conversion to common stock   49,315  
Reverse merger exchange ration share adjustment   $ 43  
Convertible promissory note deferred issuance costs in accounts payable     104
Common stock issued pursuant to operating lease amendment $ 11,500   11,489
Common stock issued for payment on convertible promissory note     168
Common stock warrants issued for long-term debt commitment fee     1,967
Common stock warrants issued for discount on long-term debt     6,348
Decrease to investment in joint venture and increase in plant and equipment for distribution or transfer of nonmonetary assets     51,978
Change in fair value of embedded conversion feature of convertible promissory note in additional paid-in capital     $ 1,591