Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Supplementary Financial Statement Information (Tables)

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Supplementary Financial Statement Information (Tables)
12 Months Ended
Dec. 31, 2022
Supplementary Financial Statement Information [Abstract]  
Schedule of balance sheet
    December 31  
    2022     2021  
a. Accrued liabilities and other:      
Employees and institutions for employees   $ 944     $ 863  
Provisions for vacation and others     446       473  
Royalties and Other     53       93  
    $ 1,443     $ 1,429  

 

Schedule of disaggregated revenues text block
    Year ended December 31  
    2022     2021     2020  
Revenues from licensing agreement (see Note 2(q))   $
-
    $ 14,000     $ 3,600  
Revenues from the sales of goods     299       1,595       2,108  
Revenues from the rendering of services    
-
      46       429  
Total revenues   $ 299     $ 15,641     $ 6,137  

 

Schedule of revenues by geographical area
    Year ended December 31  
    2022     2021     2020  
United states and Canada   $ 174     $ 15,013     $ 5,768  
Europe and Israel     125       628       369  
Total revenues   $ 299     $ 15,641     $ 6,137  

 

Schedule of revenue by major customers
    2022     2021     2020  
Customer  A   $ 9     $ 14,770     $ 822  
                         
Customer B   $ 101     $ *)     $ *)  
                         
Customer C   $ 158     $ *)     $ *)  
Customer D   $
-
    $ 169     $ 4,929  

 

*) Less than 10%.

 

Schedule of changes in deferred revenues relating to goods
    2022     2021     2020  
Balance at beginning of year   $ (32 )   $ (207 )   $ (942 )
Contract liability recognized during the period    
-
      (32 )     (270 )
Revenue recognized during the period     32       207       1,005  
                         
Balance at end of year    
-
      (32 )     (207 )
Contract liability presented in current liabilities    
-
      (32 )     (207 )
Contract liability presented in non-current liabilities    
-
     
-
     
-
 

 

Schedule of Financial income (expenses) ,net
    Year ended December 31  
    2022     2021     2020  
                   
Exchange rate differences   $ (115 )   $ (38 )   $ (181 )
Bank and other fees     (10 )     (30 )     (11 )
Remeasurement of financial instruments    
-
      28       40  
Other financing expenses     (24 )     (7 )     (23 )
Interest on bank deposits     321       219      
-
 
Financial income (expenses), net   $ 172     $ 172     $ (175 )