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Debt - Additional Information (Details) - USD ($)
3 Months Ended 6 Months Ended 12 Months Ended
Mar. 13, 2024
Jan. 12, 2024
Oct. 12, 2023
Aug. 21, 2023
Jun. 21, 2023
May 16, 2023
Apr. 10, 2023
Mar. 17, 2023
Sep. 15, 2022
Dec. 31, 2022
Jun. 30, 2024
Dec. 31, 2023
Aug. 05, 2024
Jul. 17, 2024
May 01, 2024
Apr. 05, 2024
Jan. 16, 2024
Mar. 31, 2023
Mar. 20, 2023
Line of Credit Facility [Line Items]                                      
Issue of common stock                     21,933,861 19,378,192              
Daily interest accruing rate   18.00%                                  
Short-term debt - related parties, net of discount                     $ 35,756,000 $ 19,909,000              
Debt instrument payment             $ 5,505,000                        
Purchase price of per share             $ 6.5                       $ 8.34
Exercise per share price (in Dollars per share) $ 8.1           $ 7.5                        
Discount on warrant           $ 2,151,000                          
Cash and cash equivalents                     467,000 227,000              
Initial and Second Tranche                                      
Line of Credit Facility [Line Items]                                      
Percentage of partial liquidating damages on purchase price   1.00%                                  
Daily interest accruing rate   18.00%                                  
Initial and Second Tranche | Maximum                                      
Line of Credit Facility [Line Items]                                      
Percentage of partial liquidating damages on subscription amount   6.00%                                  
Loan Agreement | Dr. Hariri                                      
Line of Credit Facility [Line Items]                                      
Debt instrument contribution amount       $ 1,000,000                              
Maturity date       Aug. 21, 2024                              
Extended maturity date       Dec. 31, 2024                              
Gross proceeds       $ 4,500,000                              
Principal amount       $ 3,000,000                              
Loan interest rate       15.00%                              
CEO Promissory Note                                      
Line of Credit Facility [Line Items]                                      
Short-term debt - related parties, net of discount                     1,417,000 1,419,000              
CEO Promissory Note | Dr. Hariri                                      
Line of Credit Facility [Line Items]                                      
Other short term debt due to related party                     1,417,000 1,419,000              
Interest rate     15.00%                                
Carrying value of short-term debt                     2,258,000 2,108,000              
Pre-paid advance maturity period     12 months                                
Principal amount     $ 285,000                                
Loan interest rate     15.00%                                
Bridge Loan                                      
Line of Credit Facility [Line Items]                                      
Fall in cash and cash equivalents   $ 3,000,000                   3,000,000              
Short-term debt - related parties, net of discount                     28,711,000 12,967,000              
Carrying value of short-term debt   $ 3,908,000                                  
Cash and cash equivalents                     3,000,000                
Bridge Loan | InitialLoan                                      
Line of Credit Facility [Line Items]                                      
Maturity date         Mar. 17, 2025 Jun. 14, 2023                          
Discount           $ 120,000                          
Interest rate           12.50%                          
Interest rate during period in event of default           15.50%                          
Principal amount           $ 6,000,000                          
Bridge Loan | Additional Loan                                      
Line of Credit Facility [Line Items]                                      
Maturity date   Jul. 16, 2025     Mar. 17, 2025                            
Discount         $ 678,000                            
Interest rate         12.50%                            
Interest rate during period in event of default   12.50%     15.50%                            
Principal amount         $ 6,000,000                            
Original issue discount   $ 3,750,000                                  
Discount on warrant   15,000,000                                  
CV Starr                                      
Line of Credit Facility [Line Items]                                      
Exercise per share price (in Dollars per share) $ 5.895                                    
CV Starr | Loan Agreement                                      
Line of Credit Facility [Line Items]                                      
Maturity date               Mar. 17, 2025                      
Debt instrument, interest rate, effective percentage in event of default               15.00%                      
Fall in cash and cash equivalents   3,000,000                 $ 3,000,000                
Debt instrument, covenant compliance description                     During the year ended December 31, 2023, the Company's cash and cash equivalents fell below the $3,000 minimum liquidity covenant, which per the terms of the loan agreement caused an event of default. Therefore, the Company reclassified the loan as a current liability reflected within short-term debt - related parties on the condensed consolidated balance sheets.                
Debt discount   $ 51,000                                  
Short-term debt - related parties, net of discount                     $ 5,628,000 $ 5,523,000              
Principal amount               $ 5,000,000                      
Original issue discount               $ 100,000                      
Loan interest rate               12.00%                      
Cash and cash equivalents                     $ 3,000,000                
Class A Common Stock                                      
Line of Credit Facility [Line Items]                                      
Issue of common stock                     21,933,861 19,378,192              
Warrants to purchase Class A common stock             923,076                        
Class A Common Stock | Bridge Loan                                      
Line of Credit Facility [Line Items]                                      
Warrants to purchase Class A common stock   1,350,000                                  
Class A Common Stock | Bridge Loan | Tranche 1 Warrant                                      
Line of Credit Facility [Line Items]                                      
Warrants to purchase Class A common stock   1,650,000                                  
Exercise per share price (in Dollars per share)                                 $ 2.4898    
Class A Common Stock | Bridge Loan | Tranche 2 Warrant | Subsequent Event [Member]                                      
Line of Credit Facility [Line Items]                                      
Exercise per share price (in Dollars per share)                           $ 3.076          
Warrants | Bridge Loan | Maximum                                      
Line of Credit Facility [Line Items]                                      
Increase interest rate on loan outstanding by basis points 13.50%                                    
Warrants | Class A Common Stock | Bridge Loan                                      
Line of Credit Facility [Line Items]                                      
Warrants to purchase Class A common stock           300,000                          
Purchase price of per share         $ 1.25                            
Share Issued Purchased Price         375                            
Term (years)   5 years     5 years                            
Exercise per share price (in Dollars per share)         $ 8.1                            
Warrants | Class A Common Stock | CV Starr | Loan Agreement                                      
Line of Credit Facility [Line Items]                                      
Warrants to purchase Class A common stock               75,000     50,000,000                
Purchase price of per share               $ 1.25                      
Share Issued Purchased Price               94,000                      
Term (years)                     5 years                
Exercise per share price (in Dollars per share)               $ 7.1     $ 8.1                
Pre-Paid Advance Agreement | Yorkville                                      
Line of Credit Facility [Line Items]                                      
Maximum advance amount                 $ 40,000,000                    
Pre-paid advance period                 18 months                    
Line of credit aggregate limitation amount                 $ 150,000,000                    
Pre-paid advance issued discount percentage                 2.00%                    
Annual interest rate                 6.00%                    
Minimum required daily volume weighted average price                 $ 7.5                    
Line of credit increase in interest rate during period in event of default                 15.00%                    
Issuance of common stock minimum option price per share                 $ 7.5                    
Maximum percentage of common stock issued                 19.90%                    
Required monthly payment if daily volume weighted average price is below $0.75 for any five of seven trading days                 $ 6,000,000                    
Principal payments of debt                       $ 16,811,000              
Purchase price                                   $ 0.5  
Debt instrument accrued interest                       1,073,000              
Debt instrument redemption premium                       840,000              
Issue of common stock   100,000                                  
Debt instrument payment                       18,724,000              
Principal balance                       16,623,000              
Debt conversion, principal amount                   $ 3,000,000   3,889,000              
Debt conversion, accrued interest amount                   $ 694,000   400,000              
Redemption premium percentage if volume weighted average price is less than $0.75                 5.00%                    
Redemption premium percentage if volume weighted average price more than $0.75                 10.00%                    
Percentage of beneficial ownership limitation                 4.99%                    
Minimum number of shares of common stock purchase                 6,000                    
Proceeds from pre-paid advance gross                 $ 40,000,000                    
Proceeds from pre-paid advance                 $ 39,200,000                    
Pre-paid advance maturity period                 12 months                    
Fair value of debt                       $ 17,223,000              
Pre-Paid Advance Agreement | Class A Common Stock | Yorkville                                      
Line of Credit Facility [Line Items]                                      
Issuance price percentage                     20.00%                
Pre-Paid Advance Agreement | Common Stock | Yorkville                                      
Line of Credit Facility [Line Items]                                      
Debt conversion, number of shares issued                   262,797   559,481              
Forbearance Agreement | Bridge Loan                                      
Line of Credit Facility [Line Items]                                      
Increase interest rate on loan outstanding by basis points 100.00%                                    
Forbearance Agreement | Bridge Loan | Subsequent Event [Member]                                      
Line of Credit Facility [Line Items]                                      
Debt instrument default interest rate                         16.50%            
Carrying value of short-term debt                         $ 13,700,000            
Forbearance Agreement | Yorkville                                      
Line of Credit Facility [Line Items]                                      
Annual interest rate   15.00%                                  
Cash payment   $ 17,348,000                                  
Diem interest payment for each day   $ 7,000                                  
Issue of common stock   100,000                                  
Forbearance Agreement | CV Starr | Loan Agreement                                      
Line of Credit Facility [Line Items]                                      
Debt Instrument Default Percentage                               16.00%      
Increase interest rate on loan outstanding by basis points                     100.00%                
Forbearance Agreement | Common Stock | Bridge Loan | Loan Agreement | Maximum                                      
Line of Credit Facility [Line Items]                                      
Precentage of changes in cash flow 10.00%                                    
Forbearance Agreement | Common Stock | CV Starr | Loan Agreement                                      
Line of Credit Facility [Line Items]                                      
Loan interest rate 13.00%                                    
Forbearance Agreement | Common Stock | CV Starr | Loan Agreement | Maximum                                      
Line of Credit Facility [Line Items]                                      
Precentage of changes in cash flow 10.00%                                    
Forbearance Agreement | Warrants | Bridge Loan                                      
Line of Credit Facility [Line Items]                                      
Warrant Expiration Date Jun. 20, 2028                                    
Debt discount $ 1,162,000                                    
Forbearance Agreement | Warrants | Bridge Loan | Minimum                                      
Line of Credit Facility [Line Items]                                      
Increase interest rate on loan outstanding by basis points 12.50%                                    
Forbearance Agreement | Warrants | Common Stock | Bridge Loan                                      
Line of Credit Facility [Line Items]                                      
Warrants to purchase Class A common stock 300,000                                    
Exercise per share price (in Dollars per share) $ 5.895                                    
Forbearance Agreement | Warrants | Common Stock | CV Starr                                      
Line of Credit Facility [Line Items]                                      
Purchase price of per share $ 5.895                                    
Forbearance Agreement | Warrants | Common Stock | CV Starr | Loan Agreement | Tranche 1 Warrant                                      
Line of Credit Facility [Line Items]                                      
Warrant Expiration Date Mar. 17, 2028                                    
Warrants to purchase Class A common stock 75,000                                    
Purchase price of per share $ 7.1                                    
Forbearance Agreement | Warrants | Common Stock | CV Starr | Loan Agreement | Tranche 2 Warrant                                      
Line of Credit Facility [Line Items]                                      
Warrant Expiration Date Jun. 20, 2028                                    
Warrants to purchase Class A common stock 50,000                                    
Purchase price of per share $ 8.1                                    
Standby Equity Purchase Agreement | Yorkville | Convertible Promissory Notes                                      
Line of Credit Facility [Line Items]                                      
Maximum advance amount $ 2,993,000                                    
Original issue discount 5.00%                                    
Annual interest rate 8.00%                                    
Minimum required daily volume weighted average price $ 2.7546                                    
Line of credit increase in interest rate during period in event of default 18.00%                                    
Issue of Debt $ 3,150,000                                    
Debt instrument default interest rate                             18.00%        
Original issue discount                     $ 157,000                
Maturity date Mar. 13, 2025                                    
Principal balance                     3,150,000                
Fair value of debt                     $ 2,985,000                
Standby Equity Purchase Agreement | Common Stock | Yorkville | Convertible Promissory Notes                                      
Line of Credit Facility [Line Items]                                      
Percentage of conversion on outstanding common stock 19.90%                                    
Conversion price per share $ 6.3171                                    
Percentage of beneficial ownership limitation 4.99%