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Notes Payable (Details) - Schedule of fair value of financial instruments - USD ($)
$ in Thousands
9 Months Ended 12 Months Ended
Sep. 30, 2022
Dec. 31, 2021
Dec. 31, 2020
March 1, 2021 Notes [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal   $ 55,000
Accrued interest   6,455  
Interest expense   6,455  
Principal and conversion premium payments in cash $ (55,000)    
Original issue discount   3,490  
Proceeds   51,510  
August 26, 2021 Notes [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal   30,000
Accrued interest   1,473  
Interest expense   1,473  
Principal and conversion premium payments in cash $ (32,065)    
Original issue discount   87  
Proceeds   29,913  
June 9, 2021 Note 1 [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal   20,000
Original issue discount and debt issuance costs   1,797  
Proceeds   18,203  
June 9, 2021 Note 2 [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal   20,000
Original issue discount and debt issuance costs   2,600  
Proceeds   17,400  
August 10, 2021 Optional Notes [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal   33,917
Original issue discount and debt issuance costs   3,542  
Accrued interest   183  
Interest expense   183  
Proceeds   30,375  
Notes payable One [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal   5,458 4,597
Foreign exchange (gain) loss on principal   133 297
Reclassification from related party notes payable   730  
Notes payable Two [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal   193 9,168
Accrued interest   2 65
Interest expense   92 65
Payroll Protection Program principal forgiveness   8,975  
Payroll Protection Program interest forgiveness   155  
Proceeds     9,168
Notes payable Three [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal     57,293
Foreign exchange (gain) loss on principal   (1,293) 4,108
Principal settled with equity   56,000  
Interest settled with equity   17,177  
Accrued interest     13,769
Interest expense   3,408 7,387
Note payable Four [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal     17,637
Interest settled with equity   3,613  
Principal payments in cash   17,637  
Accrued interest     2,637
Interest expense   976 1,768
Principal conversion premium settled with equity   3,527  
Notes payable Five [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal     10,600
Principal settled with equity   10,600  
Interest settled with equity   3,251  
Accrued interest     2,547
Interest expense   704 1,275
Note payable Six [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal     1,500
Principal settled with equity   1,500  
Interest settled with equity   699  
Accrued interest     587
Interest expense   112 203
Note payable Seven [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal     7,000
Interest settled with equity   2,147  
Accrued interest     1,682
Interest expense   465 842
Principal and conversion premium settled with equity   10,375  
Note payable Eight [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal     3,677
Foreign exchange (gain) loss on principal   219 237
Foreign exchange (gain) loss on accrued interest   167 142
Principal settled with equity   3,715  
Interest settled with equity   2,713  
Accrued interest     2,314
Interest expense   374 637
Notes Payable Nine [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal     4,140
Foreign exchange (gain) loss on principal   260 219
Foreign exchange (gain) loss on accrued interest   44 35
Principal settled with equity   4,181  
Interest settled with equity   713  
Accrued interest     569
Interest expense   139 235
Proceeds     766
Notes Payable Ten [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal     729
Foreign exchange (gain) loss on principal   (25)  
Foreign exchange (gain) loss on accrued interest   1  
Principal settled with equity   736  
Interest settled with equity   44  
Principal payments     32
Accrued interest     19
Interest expense   24 19
Proceeds     761
Notes Payable Eleven [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal     15,000
Principal and conversion premium settled with equity   20,367  
Proceeds     13,800
January 13 and March 12, 2021 Notes [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal  
Original issue discount and debt issuance costs   1,940  
Principal and conversion premium settled with equity   23,725  
Proceeds   16,310  
Notes Payable Twelve [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal     15,000
Interest expense   1,334 366
Principal conversion premium settled with equity   2,785  
Interest and adjustment fee settled with equity   270  
Principal and conversion premium payments in cash   18,992  
Interest payments in cash   1,197 366
Proceeds     15,000
January 13 and March 8, 2021 Notes [Member]      
Notes Payable (Details) - Schedule of fair value of financial instruments [Line Items]      
Outstanding principal  
Interest settled with equity   82  
Original issue discount and debt issuance costs   1,132  
Interest expense   632  
Principal conversion premium settled with equity   2,069  
Principal and conversion premium payments in cash   11,582  
Interest payments in cash   550  
Proceeds   $ 8,218