Quarterly report pursuant to Section 13 or 15(d)

Financing Expenses, Net (Tables)

v3.21.2
Financing Expenses, Net (Tables)
3 Months Ended
Mar. 31, 2021
Banking and Thrift, Interest [Abstract]  
Schedule of Financing Expenses
    Three months period ended March 31,  
    2021     2020  
             
Change in fair value of warrants liability and warrants expired   $ (201 )   $ 919  
Change in fair value of convertible bridge loans following the Maturity Date     11,976       4,369  
Change in fair value of liability related to conversion feature of convertible bridge loans     (977 )     -  
Direct and incremental issuance costs allocated to conversion feature of convertible bridge loan     169       -  
Amortization of discounts and accrued interest on straight loans     861       212  
Amortization of discounts and accrued interest on convertible bridge loans (prior to Maturity Date)     3,057       -  
Modification of terms relating to convertible bridge loans transactions     -       (3,428 )
Modification of terms relating to straight loan transaction     (6 )     -  
Issuance of shares as call options to acquire potential acquiree     -       1,000  
Change in liability to minimum royalties     12       9  
Settlement in cash of prepayment obligation related to convertible bridge loan (see Note 3C)     182       -  
Interest and related royalties under receivables financing facility     238       -  
Amortization of prepaid expenses related to commitment shares in connection with receivables financing facility and equity line     293       -  
Exchange rate differences and other finance expenses     50       373  
    $ 15,654     $ 3,454