v3.26.1
Notes Payable - Schedule of Avenue Financing and Financing Arrangements (Details) - Directors and Officers [Member] - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Dec. 31, 2025
Schedule of Avenue Financing and Financing Arrangements [Line Items]      
Principal Repayments $ 157 $ 2,543  
Outstanding Balance 9,519   $ 9,676
Less: current portion of notes payable (3,912)   (2,854)
Unamortized debt discounts and debt issuance costs (1,105)   (1,284)
Notes payable. long term 4,502   5,538
Avenue Capital Note Principal and Final Payment Fee [Member]      
Schedule of Avenue Financing and Financing Arrangements [Line Items]      
Amount Financed $ 8,500    
Interest Rate 5.25%    
Principal Repayments  
Outstanding Balance 9,250   9,250
Yorkville Convertible Notes, at fair value [Member]      
Schedule of Avenue Financing and Financing Arrangements [Line Items]      
Amount Financed $ 11,500    
Interest Rate 0.00%    
Principal Repayments 2,365  
Outstanding Balance  
2025 Insurance Note [Member]      
Schedule of Avenue Financing and Financing Arrangements [Line Items]      
Amount Financed $ 580    
Interest Rate 8.00%    
Principal Repayments $ 157  
Outstanding Balance 269   426
2024 Insurance Note [Member]      
Schedule of Avenue Financing and Financing Arrangements [Line Items]      
Amount Financed $ 596    
Interest Rate 8.40%    
Principal Repayments $ 178  
Outstanding Balance