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Fair Value Measurements and Fair Value of Financial Instruments (Tables)
3 Months Ended
Mar. 31, 2025
Fair Value Measurements and Fair Value of Financial Instruments [Abstract]  
Schedule of Fair Value of Assets

The Company’s assets and liabilities measured at fair value consisted of the following at the periods indicated:

 

   Fair Value at March 31, 2025 
   Total   Level 1   Level 2   Level 3 
Labilities:                
Warrant liability  $4,442   $
    
   $4,442 
Total liabilities  $4,442   $
   $
   $4,442 
Schedule of Reconciliation of Liabilities for Level 3 Investments

The table below provides a summary of changes in the estimated fair value of the Company’s Level 3 warrant liability:

 

    Warrant Liability  
Balance at January 1, 2025   $  
Pre-funded and Common Warrants issued in connection with the March Offering (Note 13)     5,353  
Exercise of warrants     (408 )
Change in fair value     (503 )
Balance at March 31, 2025   $ 4,442