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SUBSEQUENT EVENTS, Convertible Note Financing (Details) - Subsequent Event [Member] - Notes and Warrants Purchase Agreement [Member]
Apr. 29, 2022
USD ($)
Tranches
$ / shares
shares
Convertible Note Financing [Abstract]  
Number of tranches, Notes and Warrants will be sold | Tranches 2
Notes [Member]  
Convertible Note Financing [Abstract]  
Interest rate 6.00%
Number of warrants included in debt instrument (in shares) | shares 0.50
Period after the issuance of the closing dates of the first tranche of sales 1 year
Initial conversion share price (in dollars per share) | $ / shares $ 12.00
Period of amortization to be settled in cash or shares 6 months
Exercise price of warrants (in dollars per share) | $ / shares $ 12.00
Notes [Member] | Maximum [Member]  
Convertible Note Financing [Abstract]  
Debt instrument face amount $ 22,000,000
First Tranche [Member]  
Convertible Note Financing [Abstract]  
Value of securities subscribed 11,000,000
Purchase price of subscribed securities exchange in cash 10,000,000
First Tranche [Member] | Maximum [Member]  
Convertible Note Financing [Abstract]  
Number of securities to be sold 17,000,000
Purchase price of securities exchange in cash 15,454,545
Second Tranche [Member]  
Convertible Note Financing [Abstract]  
Number of securities to be sold 5,000,000
Purchase price of securities exchange in cash $ 4,545,454
Period after the effective date of a resale registration statement 60 days