Annual report pursuant to Section 13 and 15(d)

Fair Value of Financial Instruments - Schedule of Financial Instruments Measured at Fair Value (Details)

v3.24.1
Fair Value of Financial Instruments - Schedule of Financial Instruments Measured at Fair Value (Details) - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Assets:    
Derivative asset, statement of financial position Prepaid expenses and other current assets Other non-current assets
Liabilities:    
Private warrants $ 3,325 $ 1,314
Contingent consideration 0 1,000
Fair Value, Recurring    
Assets:    
Total assets 0 216
Liabilities:    
Private warrants 3,325 1,314
Contingent consideration 0 1,000
Total liabilities 3,325 2,314
Fair Value, Recurring | Committed Equity Facility    
Assets:    
Committed equity facility 0 216
Level 1 | Fair Value, Recurring    
Assets:    
Total assets 0 0
Liabilities:    
Private warrants 0 0
Contingent consideration 0 0
Total liabilities 0 0
Level 1 | Fair Value, Recurring | Committed Equity Facility    
Assets:    
Committed equity facility 0 0
Level 2 | Fair Value, Recurring    
Assets:    
Total assets 0 0
Liabilities:    
Private warrants 0 0
Contingent consideration 0 0
Total liabilities 0 0
Level 2 | Fair Value, Recurring | Committed Equity Facility    
Assets:    
Committed equity facility 0 0
Level 3 | Fair Value, Recurring    
Assets:    
Total assets 0 216
Liabilities:    
Private warrants 3,325 1,314
Contingent consideration 0 1,000
Total liabilities 3,325 2,314
Level 3 | Fair Value, Recurring | Committed Equity Facility    
Assets:    
Committed equity facility $ 0 $ 216