Convertible Debt (Details) $ / shares in Units, shares in Millions |
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3 Months Ended |
9 Months Ended |
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Sep. 26, 2023
USD ($)
tradingDay
$ / shares
shares
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Sep. 11, 2023
USD ($)
$ / shares
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Aug. 02, 2023
USD ($)
tradingDay
$ / shares
shares
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Jun. 30, 2023
USD ($)
tradingDay
$ / shares
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Apr. 24, 2023
USD ($)
$ / shares
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Jan. 13, 2023
USD ($)
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Dec. 31, 2022
USD ($)
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Nov. 11, 2022
shares
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Nov. 10, 2022
USD ($)
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Sep. 06, 2022
shares
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Aug. 26, 2022
USD ($)
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Jul. 22, 2022
USD ($)
$ / shares
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Jul. 21, 2022 |
Jul. 20, 2022
USD ($)
$ / shares
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May 10, 2022 |
Sep. 30, 2023
USD ($)
$ / shares
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Sep. 30, 2022
USD ($)
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Sep. 30, 2023
USD ($)
tradingDay
$ / shares
shares
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Sep. 30, 2022
USD ($)
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Apr. 23, 2023
USD ($)
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Nov. 09, 2022
$ / shares
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Oct. 05, 2022
USD ($)
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Debt Conversion [Line Items] |
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Purchase price of common stock, percent |
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130.40%
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Purchase share price (in dollars per share) | $ / shares |
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$ 0.63
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$ 0.63
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Proceeds from PPA |
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$ 16,751,000
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$ 89,100,000
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Loss on extinguishment of debt |
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$ 2,573,000
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$ 4,095,000
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30,261,000
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4,095,000
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Other noncash income (expense) |
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(839,000)
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0
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Non-cash interest expense |
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$ 2,234,000
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$ 1,316,000
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Convertible Debt |
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Debt Conversion [Line Items] |
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Purchase price of common stock, percent |
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95.00%
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Convertible Debt | Second Convertible Debentures and Warrants |
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Debt Conversion [Line Items] |
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Debt instrument exercise price (in dollars per share) | $ / shares |
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$ 0.67
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Convertible Debt | Third Convertible Debentures and Warrants |
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Debt Conversion [Line Items] |
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Debt instrument exercise price (in dollars per share) | $ / shares |
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$ 0.67
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Convertible Debt | Fourth Convertible Debentures and Warrants |
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Debt Conversion [Line Items] |
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Debt instrument exercise price (in dollars per share) | $ / shares |
$ 0.67
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Common stock |
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Debt Conversion [Line Items] |
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Purchase share price (in dollars per share) | $ / shares |
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$ 0.62
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$ 0.62
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$ 1.11
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Yorkville Warrants | Convertible Debt |
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Debt Conversion [Line Items] |
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Long-Term Debt |
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$ 1,300,000
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$ 1,300,000
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Loss On Issuance Of Debt |
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(69,600,000)
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(69,600,000)
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Convertible debt, fair value |
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72,800,000
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$ 72,800,000
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Yorkville Warrants | Convertible Debt | Second Convertible Debentures and Warrants |
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Debt Conversion [Line Items] |
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Aggregate principal amount |
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$ 26,600,000
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Percentage of original issue discount |
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6.00%
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Number of days to exceed target price | tradingDay |
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5
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Yorkville Warrants | Convertible Debt | Third Convertible Debentures and Warrants |
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Debt Conversion [Line Items] |
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Aggregate principal amount |
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$ 27,900,000
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Unamortized discount, percent |
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6.00%
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Additional aggregate principal amount |
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$ 53,200,000
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Number of days to exceed target price | tradingDay |
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20
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Principal amount, exercised |
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$ 53,200,000
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Yorkville Warrants | Convertible Debt | Fourth Convertible Debentures and Warrants |
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Debt Conversion [Line Items] |
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Aggregate principal amount |
$ 15,000,000
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Percentage of original issue discount |
16.50%
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Number of days to exceed target price | tradingDay |
20
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Principal amount, exercised |
$ 30,000,000
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Yorkville Warrants | Common stock | Convertible Debt | Third Convertible Debentures and Warrants |
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Debt Conversion [Line Items] |
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Purchase share price (in dollars per share) | $ / shares |
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$ 0.54
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Yorkville Warrants | Common stock | Convertible Debt | Fourth Convertible Debentures and Warrants |
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Debt Conversion [Line Items] |
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Purchase share price (in dollars per share) | $ / shares |
$ 0.54
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Yorkville Warrants | Common stock | Convertible Debt | Minimum | Third Convertible Debentures and Warrants |
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Debt Conversion [Line Items] |
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Issuance of shares under Legal Settlement (in shares) | shares |
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49.6
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Yorkville Warrants | Common stock | Convertible Debt | Minimum | Fourth Convertible Debentures and Warrants |
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Debt Conversion [Line Items] |
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Issuance of shares under Legal Settlement (in shares) | shares |
28.0
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YA II PN, Ltd |
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Debt Conversion [Line Items] |
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Pre-paid advance agreement, in cash advances |
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$ 50,000,000
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Pre-paid advance agreement, in commitment amount |
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$ 300,000,000
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Purchase price of common stock, percent |
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110.00%
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95.00%
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120.00%
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Purchase share price (in dollars per share) | $ / shares |
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$ 0.14
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$ 0.50
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$ 1.00
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Number of trading days | tradingDay |
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5
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Pre-paid advance agreement, annual rate |
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5.00%
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Pre-paid advance agreement, increase upon to default |
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15.00%
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Maturity period (in months) |
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15 months
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Repayments on pre-paid purchase agreement |
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$ 2,500,000
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Loss on extinguishment of debt |
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26,700,000
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Other noncash income (expense) |
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500,000
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Non-cash interest expense |
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100,000
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$ 5,500,000
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YA II PN, Ltd | Convertible Debt |
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Debt Conversion [Line Items] |
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Purchase share price (in dollars per share) | $ / shares |
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$ 0.10
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Number of trading days | tradingDay |
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5
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Maturity period (in months) |
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14 months
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Aggregate fair value |
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$ 41,400,000
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$ 800,000
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$ 800,000
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$ 45,100,000
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Number of consecutive trading days | tradingDay |
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7
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Option, number of consecutive trading days | tradingDay |
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3
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Option, number of trading days | tradingDay |
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10
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Redemption premium |
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5.00%
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Aggregate principal amount |
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$ 48,000,000
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Percentage of original issue discount |
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6.00%
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Standby equity purchase agreement, exchange cap, maximum ownership amount |
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$ 95,400,000
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Stated interest rate |
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1.00%
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Debt instrument, interest rate, increase (decrease) |
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15.00%
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YA II PN, Ltd | April Convertible Debenture |
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Debt Conversion [Line Items] |
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Purchase share price (in dollars per share) | $ / shares |
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$ 1.00
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YA II PN, Ltd | July Convertible Debenture |
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Debt Conversion [Line Items] |
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Purchase share price (in dollars per share) | $ / shares |
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$ 0.50
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YA II PN, Ltd | July, August And September Convertible Debentures |
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Debt Conversion [Line Items] |
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Stated interest rate |
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3.00%
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YA II PN, Ltd | Additional paid-in capital |
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Debt Conversion [Line Items] |
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Amount allocated to convertible debt from option exercised |
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$ 3,700,000
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YA II PN, Ltd | First Pre Paid Advance Agreement Member |
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Debt Conversion [Line Items] |
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Proceeds from PPA |
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$ 49,500,000
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YA II PN, Ltd | First Pre Paid Advance Agreement Member | Common stock |
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Debt Conversion [Line Items] |
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Issuance of shares under Legal Settlement (in shares) | shares |
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15.1
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YA II PN, Ltd | Second Pre Paid Advance Agreement Member |
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Debt Conversion [Line Items] |
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Proceeds from PPA |
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$ 39,600,000
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Prepaid advance agreement, discount percent |
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0.01
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YA II PN, Ltd | Side Letter To Pre Paid Advance Agreement Member |
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Debt Conversion [Line Items] |
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Pre-paid advance to minimum of settlement |
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$ 1,000,000
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YA II PN, Ltd | Third Pre Paid Advance Agreement Member |
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Debt Conversion [Line Items] |
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Purchase price of common stock, percent |
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111.20%
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Purchase share price (in dollars per share) | $ / shares |
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$ 0.49
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$ 0.49
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Proceeds from PPA |
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$ 20,000,000
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YA II PN, Ltd | Fourth Pre Paid Advance Agreement Member |
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Debt Conversion [Line Items] |
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Proceeds from PPA |
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$ 32,000,000
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Proceeds from additional amount of prepaid advance agreement |
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8,500,000
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Proceeds from partial exercise prepaid advance agreement |
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$ 5,300,000
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Net proceeds from exercise in prepaid advance agreement |
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$ 5,000,000
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Aggregate fair value |
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$ 14,800,000
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$ 14,800,000
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YA II PN, Ltd | Fourth Pre Paid Advance Agreement Member | Additional paid-in capital |
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Debt Conversion [Line Items] |
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Amount allocated to convertible debt from option exercised |
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$ 2,300,000
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YA II PN, Ltd | Pre Paid Advance Agreement |
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Debt Conversion [Line Items] |
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Redemption premium |
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3.00%
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3.00%
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YA II PN, Ltd | Fifth Pre Paid Advance Agreement |
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Debt Conversion [Line Items] |
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Proceeds from PPA |
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$ 12,500,000
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Amount allocated to convertible debt from option exercised |
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6,000,000
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Proceed from commitment fee and the purchase price discount provided for prepaid advance agreement |
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$ 11,800,000
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YA II PN, Ltd | Fifth Pre Paid Advance Agreement | Maximum |
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Debt Conversion [Line Items] |
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Purchase share price (in dollars per share) | $ / shares |
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$ 0.50
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YA II PN, Ltd | Fifth Pre Paid Advance Agreement | Minimum |
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Debt Conversion [Line Items] |
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Purchase share price (in dollars per share) | $ / shares |
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$ 0.10
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YA II PN, Ltd | Common stock |
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Debt Conversion [Line Items] |
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Exchange cap, maximum ownership percent |
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19.90%
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Issuance of shares under Legal Settlement (in shares) | shares |
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14.2
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YA II PN, Ltd | Common stock | Convertible Debt |
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Debt Conversion [Line Items] |
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Issuance of shares under Legal Settlement (in shares) | shares |
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95.4
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Loss on extinguishment of debt |
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$ 3,500,000
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YA II PN, Ltd | Common stock | Second Pre Paid Advance Agreement Member |
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Debt Conversion [Line Items] |
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Issuance of shares under Legal Settlement (in shares) | shares |
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19.4
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YA II PN, Ltd | Common stock | Pre Paid Advance Agreement |
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Debt Conversion [Line Items] |
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Issuance of shares under Legal Settlement (in shares) | shares |
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66.8
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YA II PN, Ltd | Common stock | Fifth Pre Paid Advance Agreement |
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Debt Conversion [Line Items] |
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Issuance of shares under Legal Settlement (in shares) | shares |
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15.1
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