Quarterly report pursuant to Section 13 or 15(d)

Fair Value Measurements (Details) - Schedule of Convertible Notes and Warrant Liability

v3.23.2
Fair Value Measurements (Details) - Schedule of Convertible Notes and Warrant Liability
$ in Thousands
6 Months Ended
Jun. 30, 2023
USD ($)
Convertible Notes [Member]  
Fair Value Measurements (Details) - Schedule of Convertible Notes and Warrant Liability [Line Items]  
Balance Beginning $ 1,654
Balance Ending 1,470
Loss on extinguishment of warrant liability (516)
Issuance of Series F preferred stock in connection with cancellation of notes 2,000
Change in fair value of convertible notes in connection with March waiver agreement 368
Gain on issuance of convertible note (64)
January Notes - reclass to fair value option 1,117
Settlement in Connection with October Note (2,166)
Conversion of October Notes (1,685)
Settlement in Connection with LOC (5,893)
LOC Note issuance 350
Warrants issued in connection with January promissory notes
Warrants issued in connection with Line of Credit
Warrants issued in connection with inducement agreement
Warrants issued in connection with February waiver agreement
Fair value of warrants exercised
Warrants Issued in connection with Demand Notes Series F Exchange
Warrants Issued in connection with January Notes Series F Exchange
Warrants Issued in connection with October Notes Series F Exchange
Warrants Issued in connection with Series D to Series F Exchange
Warrants Issued in connection with Series F-1
Warrants Issued in connection with Series F-2
Change in fair value 6,305
Warrant Liability [Member]  
Fair Value Measurements (Details) - Schedule of Convertible Notes and Warrant Liability [Line Items]  
Balance Beginning 972
Balance Ending 2,721
Issuance of Series F preferred stock in connection with cancellation of notes
Change in fair value of convertible notes in connection with March waiver agreement
January Notes - reclass to fair value option
Settlement in Connection with LOC
LOC Note issuance
Warrants issued in connection with January promissory notes 157
Warrants issued in connection with Line of Credit 5,593
Warrants issued in connection with inducement agreement 760
Warrants issued in connection with February waiver agreement 711
Fair value of warrants exercised (759)
Other income (expense): 504
Warrants Issued in connection with Demand Notes Series F Exchange 140
Warrants Issued in connection with January Notes Series F Exchange 50
Warrants Issued in connection with October Notes Series F Exchange 639
Warrants Issued in connection with Series D to Series F Exchange 450
Warrants Issued in connection with Series F-1 956
Warrants Issued in connection with Series F-2 285
Change in fair value $ (7,737)