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Current and Long-Term Debt - Additional Information (Details)
1 Months Ended 6 Months Ended
Mar. 19, 2024
USD ($)
Mar. 05, 2024
$ / shares
shares
Oct. 23, 2023
USD ($)
Aug. 10, 2023
USD ($)
Feb. 03, 2022
USD ($)
Jun. 29, 2021
USD ($)
$ / shares
Jun. 30, 2022
USD ($)
Dec. 31, 2021
USD ($)
Jun. 29, 2021
USD ($)
$ / shares
Jun. 30, 2024
USD ($)
$ / shares
shares
Jun. 30, 2023
USD ($)
Sep. 30, 2024
USD ($)
Feb. 29, 2024
USD ($)
$ / shares
Jan. 31, 2024
USD ($)
Jan. 31, 2024
$ / shares
Jan. 22, 2024
USD ($)
Dec. 31, 2023
USD ($)
shares
Sep. 30, 2023
USD ($)
Debt Disclosure [Line Items]                                    
Common stock, shares issued | shares                   461,943,098             420,265,306  
Weighted average interest rate on indebtedness                   9.05%                
Derivative liability                   $ 2,448,000             $ 119,000  
Completed portion of exchange                   13,228,000 $ 313,000              
2024 Notes                                    
Debt Disclosure [Line Items]                                    
Debt Instrument Stated Interest rate           13.00%     13.00%                  
Financing costs           $ 3,373,000                        
Frequency of interest accrual           semi-annually                        
2027 Convertible Notes                                    
Debt Disclosure [Line Items]                                    
Convertable Debt Amount                   200,000                
Derivative liability                   2,632,000                
Debt issuance costs                   $ 5,952,000                
2025 Convertible Notes                                    
Debt Disclosure [Line Items]                                    
Aggregate principal amount           $ 74,500,000     $ 74,500,000                  
Debt Instrument Stated Interest rate           6.00%     6.00%             6.00%    
Financing costs                 $ 3,190,000                  
Conversion price | $ / shares           $ 6.49     $ 6.49                  
Frequency of interest accrual           semi-annually                        
Embedded derivative liability measured at fair value           $ 15,099     $ 15,099                  
Percentage price of principal amount redeemed                   120.00%                
Percentage of principal amount redeemed                   100.00%                
Convertible Notes                                    
Debt Disclosure [Line Items]                                    
Conversion of Stock, Description                 The Company may redeem the 2025 Convertible Notes at par, in whole or in part, on or after June 29, 2023, if the volume weighted average price of the Common Shares trading on the Canadian Stock Exchange or Cboe Canada for 15 of the 30 trading days immediately preceding the day on which the Company exercises its redemption right, exceeds 120.0% of the conversion price of the 2025 Convertible Notes at a Redemption Price equal to 100.0% of the principal amount of the 2025 Convertible Notes redeemed, plus accrued but unpaid interest, if any, up to but excluding the Redemption Date.                  
Mortgages | New York                                    
Debt Disclosure [Line Items]                                    
Aggregate principal amount               $ 20,000,000                    
Financing costs               $ 655,000                    
Frequency of interest accrual               59 monthly                    
Maturity date               Jan. 01, 2027                    
Debt instrument final balloon payment                                   $ 18,133,000
Mortgages | New York | Prime Rate                                    
Debt Disclosure [Line Items]                                    
Interest rate               2.25%                    
Mortgages | New Jersey                                    
Debt Disclosure [Line Items]                                    
Aggregate principal amount             $ 16,500,000                      
Financing costs             $ 209,000                      
Interest rate             2.25%                      
Frequency of interest accrual             59 monthly                      
Maturity date             Jul. 15, 2027                      
Debt instrument final balloon payment                                   $ 15,734,000
Mortgages | Maryland | First Agreement                                    
Debt Disclosure [Line Items]                                    
Aggregate principal amount       $ 6,250,000                            
Financing costs       195,000                            
Financing costs in connection with issuance of the Convertible Notes       $ 2,903,000                            
Frequency of interest accrual       59 monthly                            
Maturity date       Aug. 31, 2028                            
Mortgages | Maryland | Prime Rate | First Agreement                                    
Debt Disclosure [Line Items]                                    
Interest rate       2.25%                            
Mortgages | Delaware | Second Agreement                                    
Debt Disclosure [Line Items]                                    
Aggregate principal amount       $ 1,800,000                            
Financing costs       77,000                            
Financing costs in connection with issuance of the Convertible Notes       $ 1,723,000                            
Frequency of interest accrual       59 monthly                            
Maturity date       Aug. 31, 2028                            
Mortgages | Delaware | Prime Rate | Second Agreement                                    
Debt Disclosure [Line Items]                                    
Interest rate       2.25%                            
13% Notes due May 2024                                    
Debt Disclosure [Line Items]                                    
Debt Instrument Stated Interest rate     13.00%                              
Notes Reduction     $ 25,000,000                              
Exchange Agreement | Minimum                                    
Debt Disclosure [Line Items]                                    
Conversion price | $ / shares                   $ 0.57                
Exchange Agreement | 2025 Convertible Notes                                    
Debt Disclosure [Line Items]                                    
Debt Instrument, Repurchased Face Amount                   $ 25,000,000     $ 5,000,000 $ 5,000,000   $ 25,000,000    
Discount on weighted average price of common shares                   12.50%       12.50%        
Completed portion of exchange                   $ 10,000,000                
Exchange Agreement | 2025 Convertible Notes | Maximum                                    
Debt Disclosure [Line Items]                                    
Common stock, shares issued | shares                   68,564,698                
Exchange Agreement | 2025 Convertible Notes | Minimum                                    
Debt Disclosure [Line Items]                                    
Conversion price | (per share)   $ 0.87                     $ 0.47   $ 0.41      
Trading volume of the Common Shares | shares   600,000                                
Exchange Agreement | 2025 Convertible Notes | Forecast                                    
Debt Disclosure [Line Items]                                    
Debt Instrument, Repurchased Face Amount                       $ 15,000,000            
Bought Deal Private Placement | 2026 Notes                                    
Debt Disclosure [Line Items]                                    
Aggregate principal amount         $ 185,000,000                          
Debt Instrument Stated Interest rate         9.50%                          
Aggregate gross proceeds         $ 153,250,000                          
Percentage of debt issued         100.00%                          
Frequency of interest accrual         semi-annually                          
Maturity date         Feb. 03, 2026                          
Bought Deal Private Placement | Term Debt                                    
Debt Disclosure [Line Items]                                    
Debt Instrument Stated Interest rate         13.00%                          
Debt exchange         $ 31,750,000                          
Bought Deal Private Placement | Term Debt | Debt Modification                                    
Debt Disclosure [Line Items]                                    
Debt Instrument Stated Interest rate         13.00%                          
Unamortized debt discount and issuance costs         $ 2,153,000                          
Creditor fees         7,189,000                          
Legal fees         $ 301,000                          
Bought Deal Private Placement | 2027 Convertible Notes                                    
Debt Disclosure [Line Items]                                    
Aggregate principal amount $ 25,750,000                                  
Debt Instrument Stated Interest rate 9.00%                                  
Conversion of convertible notes, Shares | shares                   655,736                
Convertable Debt Amount                   $ 200,000                
Aggregate gross proceeds $ 15,600,000                                  
Percentage of debt issued 80.00%                                  
Frequency of interest accrual semi-annually                                  
Maturity date Mar. 19, 2027                                  
Bought Deal Private Placement | 2025 Convertible Notes                                    
Debt Disclosure [Line Items]                                    
Debt Instrument Stated Interest rate 6.00%                                  
Debt exchange $ 5,000,000