v3.26.1
Schedule of Reconciliation of Warrant Liabilities Measured on Recurring Basis (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Fair value of warrant liabilities, Beginning Balance $ 2,977 $ 3,784
Issuance of RWI Bridge Warrants in connection with RWI binding term sheet 5,031  
Issuance of KTL Warrants in connection with the KTL Note 3,318 (398)
Reclassification of November 2024 Purchaser and Placement Agent warrants to equity (501)  
Reclassification of RWI Bridge warrants to equity (8,902)  
Reclassification of the KTL Warrants to equity (9,186)  
Gain recognized in earnings from change in fair value 2,688 (110)
Fair value of warrant liabilities, Ending Balance 1,257 2,977
January 2024 Bridge Loan - Tranche #2 warrant issuance   1,858
November 2024 Purchaser warrant issuance   354
November 2024 Placement Agent warrant issuance   61
Reclassification of warrants from liability classified to equity classified $ (2,970)
KTL Warrant [Member]    
Issuance of KTL Warrants in connection with the KTL Note $ 9,150