v3.25.2
Merger Agreement with Special Purpose Acquisition Company (“Spac”) - Schedule of Fair Value of the Identifiable Net Assets (Details) - RNER [Member]
$ / shares in Units, $ in Thousands
12 Months Ended
Dec. 31, 2024
USD ($)
$ / shares
shares
Schedule of Fair Value of the Identifiable Net Assets [Line Items]  
Shares issued to RNER shareholders (in Shares) | shares 45,332 [1]
Closing price of the Company’s share on Nasdaq as of March 1, 2023 (in Dollars per share) | $ / shares $ 159
Fair value of the Company’s shares issued to RNER shareholders $ 7,208
Public Warrants issued to RNER shareholders (in Shares) | shares 155,078 [1]
Closing price of the Company’s warrants on Nasdaq as of March 1, 2023 (in Dollars per share) | $ / shares $ 17
Private Warrants issued to RNER shareholders (in Shares) | shares 5,360 [1]
Fair Value of the Company’s warrants on as of March 1, 2023 (in Dollars per share) | $ / shares $ 13.3
Fair value of the Company’s warrants issued to RNER shareholders $ 2,711
RNER assets 588
RNER liabilities (2,981)
Net assets of RNER (2,393)
IFRS 2 Listing expenses $ 12,312
[1] Shares and per share amounts have been retroactively adjusted to reflect the reverse share splits as described in note 20a.