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Summary of Significant Accounting Policies - Fair value of warrant (Details)
Nov. 13, 2019
MidCap Credit Facility  
Fair value of the warrants  
Remaining contractual term in years 8 years 4 months 24 days
Convertible promissory notes  
Fair value of the warrants  
Remaining contractual term in years 7 years 2 months 12 days
Notes payable  
Fair value of the warrants  
Remaining contractual term in years 7 years 4 months 24 days
Expected volatility | MidCap Credit Facility  
Fair value of the warrants  
Fair value of warrants 57.5
Expected volatility | Convertible promissory notes  
Fair value of the warrants  
Fair value of warrants 57.4
Expected volatility | Notes payable  
Fair value of the warrants  
Fair value of warrants 57.5
Risk-free interest rate | MidCap Credit Facility  
Fair value of the warrants  
Fair value of warrants 2.04
Risk-free interest rate | Convertible promissory notes  
Fair value of the warrants  
Fair value of warrants 1.79
Risk-free interest rate | Notes payable  
Fair value of the warrants  
Fair value of warrants 1.79