XML 112 R92.htm IDEA: XBRL DOCUMENT v3.23.1
Notes Payable (Details) - Schedule of notes payable
12 Months Ended
Dec. 31, 2022
USD ($)
Notes Payable (Details) - Schedule of notes payable [Line Items]  
Net carrying value $ 161,475,000
Fair Value Measurement Adjustments (2,365,000)
Payment Premium 2,065,000
Cash Payment (87,258,000)
Conversion into Class A Common Stock $ (73,917,000)
March 1, 2021 Notes [Member]  
Notes Payable (Details) - Schedule of notes payable [Line Items]  
Contractual Maturity Date March 1, 2022
Contractual Interest Rates 14.00%
Net carrying value $ 56,695,000
Fair Value Measurement Adjustments (1,695,000)
Payment Premium
Cash Payment (55,000,000)
Conversion into Class A Common Stock
August 26, 2021 Notes [Member]  
Notes Payable (Details) - Schedule of notes payable [Line Items]  
Contractual Maturity Date March 1, 2022
Contractual Interest Rates 14.00%
Net carrying value $ 30,924,000
Fair Value Measurement Adjustments (924,000)
Payment Premium 2,065,000
Cash Payment (32,065,000)
Conversion into Class A Common Stock
June 2021 Notes [Member]  
Notes Payable (Details) - Schedule of notes payable [Line Items]  
Contractual Maturity Date October 31, 2026
Contractual Interest Rates
Net carrying value $ 38,981,000
Fair Value Measurement Adjustments 1,019,000
Payment Premium
Cash Payment
Conversion into Class A Common Stock $ (40,000,000)
Optional Notes [Member]  
Notes Payable (Details) - Schedule of notes payable [Line Items]  
Contractual Maturity Date October 31, 2026
Contractual Interest Rates 15.00%
Net carrying value $ 34,682,000
Fair Value Measurement Adjustments (765,000)
Payment Premium
Cash Payment
Conversion into Class A Common Stock $ (33,917,000)
PPP Loan [Member]  
Notes Payable (Details) - Schedule of notes payable [Line Items]  
Contractual Maturity Date April 17, 2022
Contractual Interest Rates 1.00%
Net carrying value $ 193,000
Fair Value Measurement Adjustments
Payment Premium
Cash Payment (193,000)
Conversion into Class A Common Stock