v3.26.1
Debt (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Schedule of Debt

Debt consisted of the following:

 

     December 31, 2025   December 31, 2024 
Short-term debt - unaffiliated:            
December 2025 Convertible Note (measured at fair value) (a)  $2,687  $ 
December 2025 Promissory Note (measured at fair value) (a)   6,876    
Yorkville - convertible promissory note (measured at fair value) (b)       1,865 
Unsecured senior convertible notes (measured at fair value) (c)       620 
Total short-term debt - unaffiliated     9,563    2,485 
Debt - related parties:            
CEO promissory note (d)   4,440    3,876 
C.V. Starr Bridge Loan, net of discount (e)       5,652 
RWI Bridge Loan, net of discount (f)       30,275 
Total debt - related parties     4,440    39,803 
Total debt    $14,003   $42,288 
           
Balance sheet classification:          
Short-term debt - unaffiliated    $9,563   $2,485 
Short-term debt – related parties     

4,440

    3,876 
Long-term debt – related parties         35,927 
Total debt    $14,003   $42,288