v3.25.2
Schedule of Financial Instrument Presented at Fair Value (Details) - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Dec. 31, 2024
Defined Benefit Plan Disclosure [Line Items]      
SEPA, at the beginning of the period $ 790
(Gain) loss on adjustment to fair value (790)   790
SEPA, at the end of the period   790
Senior convertible note, at the beginning of the period 12,555
Borrowing   14,250
Repayments   (3,748)
Conversions (18,057)  
Loss on adjustment to fair value 5,502   2,053
Senior convertible note, at the end of the period   12,555
Repayments (3,214)  
Subordinated note warrants – related party, at the beginning of the period 4,159
Loss on issuance of debt   2,758
(Gain) loss on adjustment to fair value (3,621)   1,401
Subordinated note warrants – related party, at the end of the period 538   4,159
Series F Preferred Stock [Member]      
Defined Benefit Plan Disclosure [Line Items]      
Series F Preferred Stock embedded derivatives, at the beginning of the period
Embedded derivatives recognized at issuance of Series F Preferred Stock 19,350  
Gain on adjustment to fair value (18,220)  
Series F Preferred Stock embedded derivatives, at the end of the period 1,130  
Series F Preferred Stock Warrants [Member]      
Defined Benefit Plan Disclosure [Line Items]      
Series F Preferred Stock warrants, at the beginning of the period
Issuance of Series F Preferred Stock 22,115  
Loss on adjustment to fair value 21,603  
Series F Preferred Stock warrants, at the end of the period 43,718  
Related Party [Member]      
Defined Benefit Plan Disclosure [Line Items]      
Subordinated note – related party, at the beginning of the period 4,609
Borrowing   5,000
Repayments (3,214)   (1,786)
Loss on issuance of debt   281
Loss on adjustment to fair value 63   1,114
Subordinated note – related party, at the end of the period $ 1,458   $ 4,609