v3.25.1
Debt - Pre-Paid Advance Agreement (Details) - USD ($)
$ / shares in Units, $ in Thousands
3 Months Ended 9 Months Ended 12 Months Ended
Apr. 09, 2025
Mar. 26, 2024
Mar. 31, 2025
Mar. 31, 2024
Sep. 30, 2024
Dec. 31, 2023
Dec. 31, 2024
Debt Instrument              
Debt Issuance Costs     $ 730       $ 984
Debt, Converted Instrument, Amount       $ 321      
Gross proceeds       $ 9,203      
Prior to Reverse Stock Split              
Debt Instrument              
Warrants issued to purchase of common stock     4,038,750        
Accredited Investors Warrants              
Debt Instrument              
Warrants issued to purchase of common stock     44,875        
Strike price     $ 60        
Accredited Investors Warrants | Prior to Reverse Stock Split              
Debt Instrument              
Warrants issued to purchase of common stock     6,731,250        
Strike price     $ 0.4        
Common Stock Warrants              
Debt Instrument              
Warrant duration     3 years 9 months 3 days 4 years 9 months 10 days   4 years 5 months 1 day 3 years 8 months 4 days
Warrants issued to purchase of common stock   89,750   444,445      
Common Stock Warrants | Prior to Reverse Stock Split              
Debt Instrument              
Warrants issued to purchase of common stock   13,462,500          
Placement Agent Warrants              
Debt Instrument              
Warrants issued to purchase of common stock   53,850          
Placement Agent Warrants | Prior to Reverse Stock Split              
Debt Instrument              
Warrants issued to purchase of common stock   8,077,500 26,925        
September 2023 Private Offering              
Debt Instrument              
Warrant duration     6 years        
Conversion price per share     $ 30        
Interest rate paid in cash (as a percent)     8.00%        
Interest rate paid in kind (as a percent)     10.00%        
Grace days for payment of outstanding principal amount and accrued interests     30 days        
Adjusted interest rate payable     12.00%        
Interest Rate, Effective Percentage     21.50%       21.50%
Emerson Equity LLC ("Emerson") | September 2023 Private Offering              
Debt Instrument              
Cash commission payable (as a percent)     10.00%        
Percentage of warrants to purchase common stock on total units     20.00%        
Emerson Equity LLC ("Emerson") | September 2023 Private Offering | Subsequent Event              
Debt Instrument              
Convertible notes, converted to shares 13,333            
Debt, Converted Instrument, Amount $ 400            
Convertible debt              
Debt Instrument              
Conversion price per share   $ 30 $ 60        
Additional number of common shares issuable   179,500 89,751        
Convertible debt | Prior to Reverse Stock Split              
Debt Instrument              
Conversion price per share   $ 0.2 $ 0.4        
Additional number of common shares issuable   26,925,000 13,462,500        
Convertible debt | September 2023 Private Offering              
Debt Instrument              
Net carrying amount     $ 4,700       $ 4,500
Interest Expense     400        
Amortization expense     300        
Accrued interest expense     $ 100        
Convertible debt | September 2023 Private Offering As Amended              
Debt Instrument              
Interest Expense       $ 300      
Amortization expense       200      
Accrued interest expense       $ 100      
Convertible debt | Maximum              
Debt Instrument              
Interest Rates (as percentage)         10.00% 10.00%  
Convertible debt | Minimum              
Debt Instrument              
Interest Rates (as percentage)         8.00% 8.00%