Fair Value Measurement - Schedule of Reconciliation of Level 3 Conversion Option Liability (Details) |
6 Months Ended |
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Jun. 30, 2020
USD ($)
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Fair Value Disclosures [Abstract] | |
Fair value beginning of period | $ 2,473,000 |
Accrued interest | 276,565 |
Amortization of debt issuance costs | 1,250 |
Net unrealized loss on convertible bridge notes | 323,185 |
Fair value, end of period | 3,074,000 |
Less: current portion of bridge notes | 3,038,749 |
Fair value, end of period less current portion | $ 35,251 |
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- Definition Fair value of financial instrument classified as a liability current. No definition available.
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- Definition Fair value of financial instrument classified as a liability non current. No definition available.
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- Definition Net unrealized gain (loss) on convertible bridge notes. No definition available.
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- Definition Fair value of derivative assets and liabilities accrued interest.. No definition available.
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- Definition Amortization of debt issuance costs. No definition available.
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- References No definition available.
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- Definition Fair value of financial instrument classified as a liability measured using unobservable inputs that reflect the entity's own assumption about the assumptions market participants would use in pricing. Reference 1: http://fasb.org/us-gaap/role/ref/legacyRef
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