Document and Entity Information [Abstract]
Document and Entity Information [Abstract]
Statement [Table]
Legal Entity [Axis]
Entity [Domain]
Statement [Line Items]
Document Type
Amendment Flag
Amendment Description
Document Period End Date
Trading Symbol
Entity Registrant Name
Entity Central Index Key
Current Fiscal Year End Date
Entity Filer Category
Entity Common Stock, Shares Outstanding
Entity Current Reporting Status
Entity Voluntary Filers
Entity Well Known Seasoned Issuer
Entity Public Float
Document Fiscal Year Focus
Document Fiscal Period Focus
Statement of Financial Position [Abstract]
Assets
CURRENT ASSETS:
Cash and cash equivalents
Accounts receivable, net
Prepaid expenses and other receivables
Receivables from related party
Grants receivable
Inventory
Total current assets
NON-CURRENT ASSETS:
Funds in respect of retirement benefits obligation
Call option derivative
Investments in associates, net
Property and equipment, net
Restricted cash
Intangible assets, net
Goodwill
Other assets
Total non-current assets
TOTAL ASSETS
Liabilities and equity
CURRENT LIABILITIES:
Short-term bank credit
Accounts payable
Accrued expenses and other payables
Employees and related payables
Related parties
Advance payments on account of grant
Advance payments on account of grant
Short-term loans and current maturities of long term loans
Deferred income
Current maturities of convertible loans
Convertible bonds
Convertible bonds
Price protection derivative
Investments in associate, net
Investments in associate, net
TOTAL CURRENT LIABILITIES
LONG-TERM LIABILITIES:
Loans payable
Convertible loans
Warrants
Retirement benefits obligation
Put option derivative
Deferred taxes
TOTAL LONG-TERM LIABILITIES
TOTAL LIABILITIES
COMMITMENTS
REDEEMABLE COMMON STOCK
REDEEMABLE COMMON STOCK
REDEEMABLE NON-CONTROLLING INTEREST
REDEEMABLE NON CONTROLLING INTEREST
EQUITY:
Common stock of $0.0001 par value, 145,833,334 shares authorized, 10,273,301 shares issued and outstanding as of February 28, 2018
Additional paid-in capital
Receipts on account of shares to be allotted
Accumulated other comprehensive income
Accumulated deficit
TOTAL EQUITY
TOTAL LIABILITIES AND EQUITY
Common Stock, par or stated value
Common Stock, shares authorized
Common Stock, shares issued
Common Stock, shares outstanding
Statement of Operations [Abstract]
REVENUES
COST OF REVENUES
GROSS PROFIT (LOSS)
RESEARCH AND DEVELOPMENT EXPENSES, net
AMORTIZATION OF INTANGIBLE ASSETS
SELLING, GENERAL AND ADMINISTRATIVE EXPENSES
OTHER INCOME
OPERATING LOSS
FINANCIAL EXPENSES, net
SHARE IN NET INCOME (LOSSES) OF ASSOCIATED COMPANY
LOSS BEFORE INCOME TAXES
TAX (INCOME) EXPENSES
NET LOSS
NET INCOME ATTRIBUTABLE TO REDEEMABLE NON-CONTROLLING INTERESTS
NET LOSS ATTRIBUTABLE TO THE COMPANY
LOSS PER SHARE:
Basic
Diluted
WEIGHTED AVERAGE NUMBER OF SHARES USED IN COMPUTATION OF BASIC AND DILUTED EARNINGS (LOSS) PER SHARE:
Basic
Diluted
OTHER COMPREHENSIVE LOSS:
Net Loss
Translation adjustments
TOTAL COMPREHENSIVE LOSS
Equity Components [Axis]
Equity Components [Domain]
Common Stock [Member]
Additional Paid-in Capital [Member]
Receipts on Account of Share to be Allotted [Member]
Receipts on Account of Share to be Allotted
Accumulated Other Comprehensive Income (Loss) [Member]
Accumulated Deficit [Member]
Statement of Stockholders Equity [Abstract]
Beginning Balance
Beginning Balance (Shares)
Shares Issued (Shares)
Stock-based compensation to employees and directors
Stock-based compensation to employees and directors
Stock-based compensation to service providers
Stock-based compensation to service providers
Stock-based compensation to service providers (Shares)
Stock-based compensation to service providers (Shares)
Shares Issued (Shares) (SharesIssued)
Warrants issued to credit providers
Issuances of shares
Issuances of shares (Shares)
Shares cancellation
Shares cancellation
Shares cancellation (Shares)
Shares cancellation (Shares)
Warrants and shares to be issued due to extinguishment of a convertible loan
Warrants and shares to be issued due to extinguishment of a convertible loan
Warrants and shares to be issued due to extinguishment of a convertible loan (Shares)
Warrants and shares to be issued due to extinguishment of a convertible loan (Shares)
Beneficial conversion feature of convertible loans and Warrants issued
Conversion of convertible loans
Issuance of shares from investments and conversion of convertible loans
Issuance of shares from investments and conversion of convertible loans
Issuance of shares from investments and conversion of convertible loans (Shares)
Issuance of shares from investments and conversion of convertible loans (Shares)
Reclassification of redeemable non-controlling interest
Reclassification of redeemable non-controlling interest
Reclassification of redeemable non-controlling interest (Shares)
Reclassification of redeemable non-controlling interest (Shares)
Reclassification of redeemable common stock
Reclassification of redeemable common stock
Reclassification of redeemable common stock (Shares)
Reclassification of redeemable common stock (Shares)
Receipts on account of shares to be allotted
Receipts on account of shares to be allotted
Issuance of warrants and beneficial conversion feature of convertible loans
Issuance of warrants and beneficial conversion feature of convertible loans
Issuance of shares and receipts on account of shares and warrants to be allotted
Issuance of shares and receipts on account of shares and warrants to be allotted
Issuance of shares and receipts on account of shares and warrants to be allotted (Shares)
Issuance of shares and receipts on account of shares and warrants to be allotted (Shares)
Comprehensive loss for the period
Ending Balance
Ending Balance (Shares)
Statement of Cash Flows [Abstract]
CASH FLOWS FROM OPERATING ACTIVITIES:
Net loss
Adjustments required to reconcile net loss to net cash used in operating activities:
Stock-based compensation
Share in (income) losses of associated company
Loss from extinguishment of a convertible loan
Depreciation and amortization expenses
Change in fair value of embedded derivatives
Change in fair value of convertible bonds
Change in fair value of convertible bonds
Interest expenses accrued on loans and convertible loans (including amortization of beneficial conversion feature)
Changes in operating assets and liabilities:
Increase (decrease) in accounts receivable
Decrease in inventory
Decrease in related parties, net
Increase in other assets
Decrease in prepaid expenses and other accounts receivable
Decrease in accounts payable
Increase (decrease) in accrued expenses and other payables
Decrease in employee and related payables
Increase in deferred income
Increase (decrease) in advance payments and receivables on account of grant, net
Increase (decrease) in advance payments and receivables on account of grant, net
Increase (decrease) in deferred taxes
Net cash provided by (used in) operating activities
CASH FLOWS FROM INVESTING ACTIVITIES:
Purchase of property and equipment
Disposals of property and equipment
Investments in associate
Restricted cash
Acquisition of MaSTherCell, net of cash acquired
Short term investments and deposits
Net cash used in investing activities
CASH FLOWS FROM FINANCING ACTIVITIES:
Short-term line of credit
Proceeds from issuance of shares and warrants (net of transaction costs)
Loans received
Redeemable non-controlling interest
Redeemable non-controlling interest
Proceeds from issuance of loans payable
Proceeds from issuance of convertible loans (net of transaction costs)
Repayment of convertible loans and convertible bonds
Repayment of short and long-term debt
Net cash provided by financing activities
NET CHANGE IN CASH AND CASH EQUIVALENTS
EFFECT OF EXCHANGE RATE CHANGES ON CASH AND CASH EQUIVALENTS
CASH AND CASH EQUIVALENTS AT BEGINNING OF PERIOD
CASH AND CASH EQUIVALENTS AT END OF PERIOD
SUPPLEMENTAL NON-CASH FINANCING ACTIVITIES
Conversion of loans and bonds (including accrued interest) to common stock and warrants
Conversion of loans and bonds (including accrued interest) to common stock and warrants
Reclassification of redeemable non-controlling interest to equity
Reclassification of redeemable non-controlling interest to equity
Common stock issued for rendered services
Warrants to be issued to credit providers
Warrants to be issued to credit providers
SUPPLEMENTAL INFORMATION ON INTEREST PAID IN CASH
SUPPLEMENTAL INFORMATION ON INTEREST PAID IN CASH
Notes to Financial Statements [Abstract]
Notes to Financial Statements [Abstract]
GENERAL AND BASIS OF PRESENTATION [Text Block]
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES [Text Block]
SEGMENT INFORMATION [Text Block]
CONVERTIBLE LOAN AGREEMENTS [Text Block]
CONVERTIBLE LOAN AGREEMENTS [Text Block]
COMMITMENTS [Text Block]
EQUITY [Text Block]
STOCK BASED COMPENSATION [Text Block]
LOSS PER SHARE [Text Block]
FAIR VALUE PRESENTATION [Text Block]
SUBSEQUENT EVENTS [Text Block]
PROPERTY AND EQUIPMENT [Text Block]
INVESTMENTS IN ASSOCIATE, NET [Text Block]
INTANGIBLE ASSETS AND GOODWILL [Text Block]
LOANS [Text Block]
REDEEMABLE NON CONTROLING INTEREST [Text Block]
TAXES [Text Block]
REVENUES [Text Block]
REVENUES [Text Block]
RESEARCH AND DEVELOPMENT EXPENSES, NET [Text Block]
FINANCIAL EXPENSES (INCOMES), NET [Text Block]
FinancialExpenses
RELATED PARTY TRANSACTIONS [Text Block]
ACQUISITION OF MASTHERCELL [Text Block]
Use of Estimates in the Preparation of Financial Statements [Policy Text Block]
Business Combination [Policy Text Block]
Cash Equivalents [Policy Text Block]
Research and Development, net [Policy Text Block]
Principles of Consolidation [Policy Text Block]
Non Marketable Equity Investments [Policy Text Block]
Functional Currency [Policy Text Block]
Functional currency
Inventory [Policy Text Block]
Property and Equipment [Policy Text Block]
Goodwill [Policy Text Block]
Impairment of Long-lived Assets [Policy Text Block]
Revenue Recognition [Policy Text Block]
Financial Liabilities Measured at Fair Value [Policy Text Block]
Income Taxes [Policy Text Block]
Stock-Based Compensation [Policy Text Block]
Redeemable Non-controlling Interest [Policy Text Block]
Redeemable Non-controlling Interest
Loss per Share of Common Stock [Policy Text Block]
Concentration of Credit Risk [Policy Text Block]
Beneficial Conversion Feature (BCF) [Policy Text Block]
Beneficial Conversion Feature (BCF)
Other Comprehensive Loss [Policy Text Block]
Redeemable Common Stock [Policy Text Block]
Redeemable Common Stock
Intangible Assets [Policy Text Block]
Restricted Cash [Policy Text Block]
Newly Issued Accounting Pronouncements [Policy Text Block]
Fair value option [Policy Text Block]
General [Policy Text Block]
General
Warrants Classified as a Liability [Policy Text Block]
Warrants issued as part of capital raisings that are classified as a liability
Derivatives [Policy Text Block]
Recently Adopted Accounting Pronouncements [Policy Text Block]
Recently Adopted Accounting Pronouncements
Going concern considerations [Policy Text Block]
Going concern considerations [Policy Text Block]
Reclassifications [Policy Text Block]
Operations [Policy Text Block]
Operations
Basis Of Presentation [Policy Text Block]
New Accounting Pronouncement, Early Adoption [Axis]
New Accounting Pronouncement, Early Adoption [Domain]
New Accounting Pronouncement, Early Adoption
As reported Previously [Member]
Impact of adoption [Member]
Impact of adoption
As revised [Member]
As revised [Member]
Condensed Balance Sheet [Table Text Block]
Condensed Income Statement [Table Text Block]
Schedule of Annual Depreciation Rates, Property and Equipment [Table Text Block]
Schedule of Annual Depreciation Rates, Property and Equipment
Schedule of Intangible Assets, Useful Lives [Table Text Block]
Schedule of Intangible Assets Useful Lives
Property, Plant and Equipment, Schedule of Significant Acquisitions and Disposals [Table Text Block]
Schedule of Segment Information [Table Text Block]
Schedule Of Reconciliation of Segment Performance [Table Text Block]
Schedule Of Reconciliation of Segment Performance
Schedule of Revenues from Major Customers [Table Text Block]
Schedule of Fair Value of Loan Agreement [Table Text Block]
Class of Warrant or Right [Axis]
Class of Warrant or Right [Domain]
Warrants which are subject to exercise price adjustments [Member]
Warrants which are subject to exercise price adjustments
Warrants which are not subject to exercise price adjustments [Member]
Warrants which are not subject to exercise price adjustments
Schedule of Fair Value of Instruments for Financing [Table Text Block]
Schedule of Fair Value of Instruments for Financing
Schedule of Stockholders' Equity Note, Warrants or Rights [Table Text Block]
Employee Stock Ownership Plan (ESOP) Name [Axis]
Employee Stock Ownership Plan (ESOP), Plan [Domain]
Options Granted to Employees [Member]
Options Granted to Employees
Options Granted to Non- Employees [Member]
Options Granted to Non- Employees
Employee Stock Ownership Plan (ESOP) Disclosures [Table Text Block]
Schedule of Share-based Compensation, Stock Options Granted to Consultants [Table Text Block]
Schedule of Share-based Payment Award, Stock Options, Valuation Assumptions [Table Text Block]
Schedule of Earnings Per Share, Basic and Diluted [Table Text Block]
Schedule of Assets and Liabilities at Fair Value [Table Text Block]
Schedule of Fair Value, Assumptions Used [Table Text Block]
Schedule of Fair Value of Financial Liabilities, Activity [Table Text Block]
Schedule of Fair Value of Financial Liabilities Activity
Schedule of Sensitivity Analysis of Changes in Fair Value, Put Option Derivative [Table Text Block]
Schedule of Sensitivity Analysis of Changes in Fair Value, Put Option Derivative [Table Text Block]
Schedule of Sensitivity Analysis of Fair Value, Warrants [Table Text Block]
Schedule of Sensitivity Analysis of Changes in Fair Value, Embedded Derivatives [Table Text Block]
Schedule of Sensitivity Analysis of Changes in Fair Value, Embedded Derivatives
Schedule of Sensitivity Analysis of Changes in Fair Value, Price Protection Derivative [Table Text Block]
Schedule of Sensitivity Analysis of Changes in Fair Value, Derivatives
Schedule of Sensitivity Analysis of Changes in Fair Value, Convertible Bonds [Table Text Block]
Schedule of Sensitivity Analysis of Changes in Fair Value, Convertible Bonds
Schedule of Intangible Assets [Table Text Block]
Schedule of Intangible Assets, Future Amortization Expense [Table Text Block]
Schedule of Deferred Tax Assets [Table Text Block]
Schedule of Valuation Allowance, Activity [Table Text Block]
Schedule of Valuation Allowance Activity
Schedule of Financial Expenses [Table Text Block]
Schedule of Financial Expenses
Schedule of Related Party Transactions [Table Text Block]
Schedule of Related Parties presented in the Consolidated Balance Sheets [Table Text Block]
Schedule of Related Parties presented in the consolidated balance sheets
Schedule of Total Consideration Transferred [Table Text Block]
Schedule of Supplemental Pro Forma Results of Operations [Table Text Block]
Schedule of Supplemental Pro Forma Results of Operations
Schedule of Adjustments to Supplemental Pro Forma Results of Operations [Table Text Block]
Schedule of Adjustments to Supplemental Pro Forma Results of Operations
General And Basis Of Presentation 1
General And Basis Of Presentation 1
General And Basis Of Presentation 2
General And Basis Of Presentation 2
General And Basis Of Presentation 3
General And Basis Of Presentation 3
General And Basis Of Presentation 4
General And Basis Of Presentation 4
General And Basis Of Presentation 5
General And Basis Of Presentation 5
General And Basis Of Presentation 6
General And Basis Of Presentation 6
General And Basis Of Presentation 7
General And Basis Of Presentation 7
General And Basis Of Presentation 8
General And Basis Of Presentation 8
General And Basis Of Presentation 9
General And Basis Of Presentation 9
Segment Information 1
Segment Information 1
Segment Information 2
Segment Information 2
Segment Information 3
Segment Information 3
Segment Information 4
Segment Information 4
Segment Information 5
Segment Information 5
Segment Information 6
Segment Information 6
Convertible Loan Agreements 1
Convertible Loan Agreements 1
Convertible Loan Agreements 2
Convertible Loan Agreements 2
Convertible Loan Agreements 3
Convertible Loan Agreements 3
Convertible Loan Agreements 4
Convertible Loan Agreements 4
Convertible Loan Agreements 5
Convertible Loan Agreements 5
Convertible Loan Agreements 6
Convertible Loan Agreements 6
Convertible Loan Agreements 7
Convertible Loan Agreements 7
Convertible Loan Agreements 8
Convertible Loan Agreements 8
Convertible Loan Agreements 9
Convertible Loan Agreements 9
Convertible Loan Agreements 10
Convertible Loan Agreements 10
Convertible Loan Agreements 11
Convertible Loan Agreements 11
Convertible Loan Agreements 12
Convertible Loan Agreements 12
Convertible Loan Agreements 13
Convertible Loan Agreements 13
Convertible Loan Agreements 14
Convertible Loan Agreements 14
Convertible Loan Agreements 15
Convertible Loan Agreements 15
Commitments 1
Commitments 1
Commitments 2
Commitments 2
Commitments 2
Commitments 2
Commitments 3
Commitments 3
Commitments 4
Commitments 4
Commitments 6
Commitments 6
Commitments 7
Commitments 7
Commitments 5
Commitments 5
Commitments 6
Commitments 6
Equity 1
Equity 1
Equity 2
Equity 2
Equity 3
Equity 3
Equity 4
Equity 4
Equity 5
Equity 5
Equity 6
Equity 6
Equity 7
Equity 7
Equity 8
Equity 8
Equity 9
Equity 9
Equity 10
Equity 10
Equity 11
Equity 11
Equity 12
Equity 12
Equity 13
Equity 13
Equity 14
Equity 14
Equity 15
Equity 15
Equity 16
Equity 16
Equity 17
Equity 17
Equity 18
Equity 18
Equity 19
Equity 19
Equity 20
Equity 20
Equity 21
Equity 21
Equity 22
Equity 22
Equity 23
Equity 23
Equity 24
Equity 24
Equity 25
Equity 25
Stock Based Compensation 1
Stock Based Compensation 1
Stock Based Compensation 2
Stock Based Compensation 2
Stock Based Compensation 3
Stock Based Compensation 3
Stock Based Compensation 4
Stock Based Compensation 4
Stock Based Compensation 5
Stock Based Compensation 5
Stock Based Compensation 6
Stock Based Compensation 6
Stock Based Compensation 7
Stock Based Compensation 7
Stock Based Compensation 8
Stock Based Compensation 8
Stock Based Compensation 9
Stock Based Compensation 9
Stock Based Compensation 10
Stock Based Compensation 10
Stock Based Compensation 11
Stock Based Compensation 11
Stock Based Compensation 12
Stock Based Compensation 12
Stock Based Compensation 12
Stock Based Compensation 12
Stock Based Compensation 13
Stock Based Compensation 13
Stock Based Compensation 14
Stock Based Compensation 14
Stock Based Compensation 15
Stock Based Compensation 15
Stock Based Compensation 16
Stock Based Compensation 16
Stock Based Compensation 17
Stock Based Compensation 17
Stock Based Compensation 18
Stock Based Compensation 18
Stock Based Compensation 20
Stock Based Compensation 20
Stock Based Compensation 19
Stock Based Compensation 19
Stock Based Compensation 20
Stock Based Compensation 20
Stock Based Compensation 21
Stock Based Compensation 21
Stock Based Compensation 22
Stock Based Compensation 22
Stock Based Compensation 23
Stock Based Compensation 23
Loss Per Share 1
Loss Per Share 1
Loss Per Share 2
Loss Per Share 2
Loss Per Share 3
Loss Per Share 3
Loss Per Share 4
Loss Per Share 4
Subsequent Events 1
Subsequent Events 1
Subsequent Events 2
Subsequent Events 2
Subsequent Events 3
Subsequent Events 3
Subsequent Events 4
Subsequent Events 4
Subsequent Events 5
Subsequent Events 5
Subsequent Events 6
Subsequent Events 6
Subsequent Events 7
Subsequent Events 7
Subsequent Events 8
Subsequent Events 8
Subsequent Events 9
Subsequent Events 9
Subsequent Events 6
Subsequent Events 6
Subsequent Events 7
Subsequent Events 7
Subsequent Events 8
Subsequent Events 8
Subsequent Events 9
Subsequent Events 9
Subsequent Events 10
Subsequent Events 10
Subsequent Events 11
Subsequent Events 11
Subsequent Events 12
Subsequent Events 12
Subsequent Events 13
Subsequent Events 13
Subsequent Events 14
Subsequent Events 14
Subsequent Events 19
Subsequent Events 19
Subsequent Events 20
Subsequent Events 20
Subsequent Events 21
Subsequent Events 21
Subsequent Events 22
Subsequent Events 22
Subsequent Events 23
Subsequent Events 23
Subsequent Events 24
Subsequent Events 24
Additional paid-in capital
Accumulated deficit
Total equity
Financial expenses, net
Loss before income taxes
Net loss
Property, Plant and Equipment by Type [Axis]
Property, Plant and Equipment, Type [Domain]
Production facility [Member]
Production facility
Laboratory equipment [Member]
Office equipment and computers [Member]
Range [Axis]
Range [Domain]
Minimum [Member]
Maximum [Member]
Weighted Average Useful Life (Years)
Finite-Lived Intangible Assets by Major Class [Axis]
Finite-Lived Intangible Assets, Major Class Name [Domain]
Backlog [Member]
Customer Relationships [Member]
Brand [Member]
Brand
Know-How [Member]
Know-How
Weighted Average Useful Life (Years)
Subsegments Consolidation Items [Axis]
Subsegments Consolidation Items [Domain]
CDMO [Member]
The Contract Development and Manufacturing Organization
CTB [Member]
The Cellular Therapy Business
Corporate and Eliminations [Member]
Consolidated [Member]
Revenues from external customers
Cost of revenues
Gross profit (loss)
Research and development expenses, net
Operating expenses
Other income
Operating profit (loss)
Depreciation and amortization expense
Segment Performance
Segment Performance
Segment Performance
Stock-based compensation
Stock-based compensation
Acquisition costs
Acquisition costs
Financial income (expenses), net
Share in losses of associated company
Share in losses of associated company
Loss before income tax
Customer [Axis]
Customer [Domain]
Customer A [Member]
Customer A
Customer B [Member]
Customer B
Customer C [Member]
Customer C
Customer D [Member]
Customer D
Revenues
Warrants component
Warrants component
Price protection derivative component
Price protection derivative component
Shares component
Shares component
Total
Total
Warrants component
Warrants component
Price protection derivative component
Price protection derivative component
Shares component
Shares component
Total
Total
Warrant Issuance or Grant Date [Axis]
Warrant Issuance or Grant Date
Warrant Issuance or Grant Date [Domain]
Warrant Issuance or Grant Date
November 2013 [Member]
November 2013
December 2013 [Member]
December 2013
March 2014 [Member]
March 2014
April 2014 [Member]
April 2014
July 2014 [Member]
July 2014
July 2014 - 2 [Member]
July 2014 - 2
August 2014 [Member]
August 2014
October 2015 [Member]
October 2015
November 2015 [Member]
November 2015
December 2015 [Member]
December 2015
February 2016 [Member]
February 2016
March 2016 [Member]
March 2016
April 2016 [Member]
April 2016
May 2016 [Member]
May 2016
June 2016 [Member]
June 2016
July 2016 [Member]
July 2016
August 2016 [Member]
August 2016
September 2016 [Member]
September 2016
October 2016 [Member]
October 2016
November 2016 [Member]
November 2016
December 2016 [Member]
December 2016
January 2017 [Member]
January 2017
February 2017 [Member]
February 2017
March 2017 [Member]
March 2017
April 2017 [Member]
April 2017
May 2017 [Member]
May 2017
June 2017 [Member]
June 2017
July 2017 [Member]
July 2017
August 2017 [Member]
August 2017
September 2017 [Member]
September 2017
October 2017 [Member]
October 2017
November 2017 [Member]
November 2017
Number of Warrants Issued and Outstanding
Exercise Price / Adjusted Exercise Price
Options Granted to Directors [Member]
Options Granted to Directors
No. of options granted
Exercise price
Vesting period
Vesting period
Fair value at grant
Fair value at grant
Expiration period
Expiration period
Non-employee (ranges) [Axis]
Non-employee (ranges)
Non employee (ranges) [Domain]
Non employee (ranges)
Non-employee 1 [Member]
Non-employee 1
Non-employee 2 [Member]
Non-employee 2
Value of one common share
Dividend yield
Expected stock price volatility
Risk free interest rate
Expected term (years)
Loss for the period
Weighted average number of common shares outstanding
Loss per common share
Earnings (loss) for the period
Weighted average number of shares used in the computation of basic and diluted loss per share
Loss per common share
Embedded derivatives convertible loans
Call/Put option derivatives
Liability Class [Axis]
Fair Value by Liability Class [Domain]
Warrants [Member]
Price Protection Derivative and Warrants [Member]
Price Protection Derivative and Warrants
Embedded Derivative [Member]
Convertible Bonds [Member]
Put Option Derivative [Member]
Fair value of shares of common stock
Expected volatility
Discount on lack of marketability
Risk free interest rate
Expected term (years)
Expected dividend yield
Probability of external Investment in Atvio
Probability of external Investment in Atvio
Orgenesis cost of debt
Orgenesis cost of debt
Revenues Multiplier distribution
Revenues Multiplier distribution
Price Protection Derivative [Member]
Warrants, beginning balance
Embedded derivatives, beginning balance
Convertible bonds, beginning balance
Price protection derivative, beginning balance
Put option derivative, beginning balance
Repayment
Repayment
Additions
Additions
Conversion
Conversion
Changes in fair value related to Price Protection Derivative expired
Changes in fair value related to Price Protection Derivative expired
Changes in fair value related to warrants expired
Changes in fair value related to warrants expired
Changes in fair value during the period
Changes in fair value during the period
Changes in fair value due to extinguishment of convertible loan
Changes in fair value due to extinguishment of convertible loan
Translation adjustments
Translation adjustments
Warrants, ending balance
Embedded derivatives, ending balance
Convertible bonds, ending balance
Price protection derivative, ending balance
Put option derivative, ending balance
Sensitivity Analysis [Axis]
Sensitivity Analysis
Sensitivity Analysis [Domain]
Sensitivity Analysis
Base -10% [Member]
Base -10%
Base plus 10% [Member]
Base plus 10%
Base -50% [Member]
Base minus 50%
Base plus 50% [Member]
Base plus 50%
Base [Member]
Sensitivity analysis due to changes in the assumptions expected volatility
Sensitivity analysis due to changes in the assumptions expected volatility
Sensitivity analysis due to changes in Atvio's FV
Sensitivity analysis due to changes in Atvio's FV
Warrants
Price protection derivative
Brand name [Member]
Gross Carrying Amount
Accumulated amortization
Net carrying amount of other intangible assets
Amortization expenses, Next Twelve Months
Amortization expenses, to Year Five
Net operating loss carry forwards
Research and development expenses
Employee benefits
Property and equipment
Convertible bonds
Convertible bonds
Deferred income
Intangible assets
Less: Valuation allowance
Net deferred tax liabilities
Balance at the beginning of year
Additions during the year
Balance at end of year
Decrease in fair value of warrants and financial liabilities measured at fair value
Decrease in fair value of warrants and financial liabilities measured at fair value
Stock-based compensation related to warrants granted due to issuance of credit facility
Stock-based compensation related to warrants granted due to issuance of credit facility
Interest expense on convertible loans
Interest expense on convertible loans
Foreign exchange loss, net
Other Income
Total financial expenses
Total financial expenses
Management and consulting fees to the Chairman of the Board
Management and consulting fees to the Chairman of the Board
Compensation to the nonexecutive directors (except the Chairman of the Board)
Convertible loan from a related Fund
Redeemable common stock
Less convertible bonds
Total fair value of consideration transferred
Total current assets
Total non current assets
TOTAL ASSETS
Advance Payment On Account Of Grant
Convertible Bonds
Investments In Associate Net
TOTAL CURRENT LIABILITIES
Convertible loans
Retirement benefits obligation
TOTAL LONG-TERM LIABILITIES
TOTAL LIABILITIES COMMITMENTS EQUITY
Redeemable Common Stock
Redeemable Non Controlling Interest
Receipts on account of shares to be allotted
TOTAL EQUITY
TOTAL LIABILITIES AND EQUITY
REVENUES
COST OF REVENUES
GROSS PROFIT (LOSS)
RESEARCH AND DEVELOPMENT EXPENSES, net
AMORTIZATION OF INTANGIBLE ASSETS
SELLING, GENERAL AND ADMINISTRATIVE EXPENSES
OPERATING LOSS
FINANCIAL EXPENSES, net
LOSS BEFORE INCOME TAXES
TAX (INCOME) EXPENSES
NET LOSS
NET INCOME ATTRIBUTABLE TO REDEEMABLE NON-CONTROLLING INTERESTS
NET LOSS ATTRIBUTABLE TO THE COMPANY
Basic
Diluted
Basic (WeightedAverageNumberOfSharesOutstandingBasic)
Diluted (WeightedAverageNumberOfDilutedSharesOutstanding)
Translation adjustments
TOTAL COMPREHENSIVE LOSS
Stock Based Compensation Expenses Related To Options Granted To Employees And Directors
Stockbased Compensation Related To Options Granted To Service Providers Including Receipts On Account
Stockbased Compensation Related To Options Granted To Service Providers Including Receipts On Account Shares
Warrants issued to credit providers
Issuances of shares
Issuances of shares (Shares)
Shares Cancelled
Shares Cancelled Shares
Issuance Of Shares Along With Convertible Loan
Issuance Of Shares Along With Convertible Loan Shares
Reclassification Of Redeemable Non Controlling Interest
Reclassification Of Redeemable Non Controlling Interest Shares
Reclassification Of Redeemable Common Stock
Reclassification Of Redeemable Common Stock Shares
Receipts On Account Of Shares
Issuance Of Warrants And Beneficial Conversion Feature Of Convertible Loans
Issuance Of Shares And Receipts On Account Of Shares And Warrants To Be Allotted And Cancelation Of Contingent Shares
Issuance Of Shares And Receipts On Account Of Shares And Warrants To Be Allotted And Cancelation Of Contingent Shares Shares
Stock-based compensation
Share in (income) losses of associated company
Loss from extinguishment of a convertible loan
Depreciation and amortization expenses
Change in fair value of embedded derivatives
Change In Fair Value Of Convertible Bonds
Increase (decrease) in accounts receivable
Decrease in inventory
Decrease in related parties, net
Increase in other assets
Decrease in prepaid expenses and other accounts receivable
Decrease in employee and related payables
Increase Decrease Increase Decrease In Advance Payment On Account Of Grant
Net cash provided by (used in) operating activities
Purchase of property and equipment
Investments in associate
Restricted cash (IncreaseDecreaseInRestrictedCashAndInvestments)
Acquisition of MaSTherCell, net of cash acquired
Short term investments and deposits
Net cash used in investing activities
Short-term line of credit
Proceeds from issuance of shares and warrants (net of transaction costs)
Loans received
Proceeds From Repayments Of Redeemable Non Controlling Interest
Repayment of convertible loans and convertible bonds
Repayment of short and long-term debt
Net cash provided by financing activities
NET CHANGE IN CASH AND CASH EQUIVALENTS
CASH AND CASH EQUIVALENTS AT BEGINNING OF PERIOD
Conversion Of Loans To Shares Of Common Stock And Warrants
Reclassification Of Redeemable Non Controlling Interest To Equity
Common stock issued for rendered services
Warrants To Be Issued To Credit Providers
Supplemental Information On Interest Paid In Cash
Convertible Loan [Text Block]
Financial Expenses Net [Text Block]
Redeemable Noncontrolling Interest Policy [Text Block]
Warrants Issued As Part Of Capital Raisings That Are Classified As A Liability Policy [Text Block]
Options Granted To Non Employees [Member]
Schedule Of Sensitivity Analysis Of Changes In Fair Value Derivatives [Table Text Block]
General And Basis Of Presentation Zero Three Eight Nine Seven Zerony Sevenfr D P Zero Four G T Two
General And Basis Of Presentation Zero Three Eight Nine Seven Zero T Eight Mh S Cp G Threeq Fourr
General And Basis Of Presentation Zero Three Eight Nine Seven Zero Onel V B Lq X T Zlgz
General And Basis Of Presentation Zero Three Eight Nine Seven Zero Zh Three Eightg G Six Eightt G Zero D
General And Basis Of Presentation Zero Three Eight Nine Seven Zerovp D Q Jv Tkv Q J G
General And Basis Of Presentation Zero Three Eight Nine Seven Zero Sixcgl Eight Sc Eight Phfp
General And Basis Of Presentation Zero Three Eight Nine Seven Zero Tf M Tbm Ninef Bh P Zero
General And Basis Of Presentation Zero Three Eight Nine Seven Zero Lgf Two G D Four Nineq L X F
General And Basis Of Presentation Zero Three Eight Nine Seven Zero Zeroyt Two V Db P V Lq D
Segment Information Zero Three Eight Nine Seven Four Four One Five Dd Qzc Eightq T Two Three Eight H
Segment Information Zero Three Eight Nine Seven Four Four One Fiveqn J Eight M Jz P P Fivext
Segment Information Zero Three Eight Nine Seven Four Four One Fiven B Lv N G R Vs Cn L
Segment Information Zero Three Eight Nine Seven Four Four One Fivexl N Nine X K K Vm B Pp
Segment Information Zero Three Eight Nine Seven Zero B Nv Four D G Three G F Q Zerol
Segment Information Zero Three Eight Nine Seven Zero V Nine P B Xr Qy Three Four K X
Convertible Loan Agreements Zero Three Eight Nine Seven Zerol G P T Nine Vrfst Th
Convertible Loan Agreements Zero Three Eight Nine Seven Zeror Zero V Eight R J K Bw Nine Nd
Convertible Loan Agreements Zero Three Eight Nine Seven Zerows Tbd M G Svs L Four
Convertible Loan Agreements Zero Three Eight Nine Seven Zero Hdl One T Xbh Zerowws
Convertible Loan Agreements Zero Three Eight Nine Seven Zero Jk Onet Threec Fourk Sg Zb
Convertible Loan Agreements Zero Three Eight Nine Seven Zero F Six Kf Hxngsvdx
Convertible Loan Agreements Zero Three Eight Nine Seven Zero Bqq S Threenz Threevk B Seven
Convertible Loan Agreements Zero Three Eight Nine Seven Zerog Bq D Bzd One G Eight J One
Convertible Loan Agreements Zero Three Eight Nine Seven Zeronf Fivebd Nine G Qrzt G
Convertible Loan Agreements Zero Three Eight Nine Seven Zeroz Nl Two F Nf C Kbnl
Convertible Loan Agreements Zero Three Eight Nine Seven Zero Ninep K N Twoc W W K Xy S
Convertible Loan Agreements Zero Three Eight Nine Seven Zeromt Q Eighty Ninew Eight Twovl H
Convertible Loan Agreements Zero Three Eight Nine Seven Zeroq Z Ninevw Threel Four Z K B Six
Convertible Loan Agreements Zero Three Eight Nine Seven Zerod Fl Threer V Five Sixq Five X H
Convertible Loan Agreements Zero Three Eight Nine Seven Zero W Kph Zsy P Threevt P
Commitments Zero Three Eight Nine Seven Zero Sevenk Zero Zero K T C Two M F Eightq
Commitments Zero Three Eight Nine Seven Four Four One Five S T Dm Eighty Pqsv Dp
Commitments Zero Three Eight Nine Seven Zeroq X N W Rn Four Xk Four Zero B
Commitments Zero Three Eight Nine Seven Zerob Z V Threed V G Zeroq Cn B
Commitments Zero Three Eight Nine Seven Zero Sf Kl Four Two N S G B Z J
Commitments Zero Three Eight Nine Seven Four Four One Five Ly Gm One Pm Eight Pp P J
Commitments Zero Three Eight Nine Seven Four Four One Fivem P N C F Fivem Fivefb Nine T
Commitments Zero Three Eight Nine Seven Zerogk Dv J S Eightlrnt Seven
Commitments Zero Three Eight Nine Seven Zero Mnpbcswwkqb R
Equity Zero Three Eight Nine Seven Zerox Kk Pq D T Tw Seven Zf
Equity Zero Three Eight Nine Seven Zeros Jl G Eight Seven W F Tk Tn
Equity Zero Three Eight Nine Seven Zero Vp Zblvz Zz Ltd
Equity Zero Three Eight Nine Seven Zero T H Tc P Kqb Hwkv
Equity Zero Three Eight Nine Seven Zero One Fs Four G Five Fqt D Five N
Equity Zero Three Eight Nine Seven Zero Pd Zero Four Six Jd Fivew Onecw
Equity Zero Three Eight Nine Seven Zerol N H Sixy J C Tw Five Fiver
Equity Zero Three Eight Nine Seven Zero W X Two T One T Tqrvy V
Equity Zero Three Eight Nine Seven Zero Fourt Three Rs X Hh K Wp Z
Equity Zero Three Eight Nine Seven Zero S W D Six T Vkq Sixt Mt
Equity Zero Three Eight Nine Seven Zeromfg Nfm L Qgzym
Equity Zero Three Eight Nine Seven Zero Two Seven Q B Seven C Nine Nine Four T Seven Six
Equity Zero Three Eight Nine Seven Zero Xqv Dy Five H Nwt Vm
Equity Zero Three Eight Nine Seven Zerolgsxk Sevenxg One Zero Kz
Equity Zero Three Eight Nine Seven Zero Qm Four Twow Vg D Z Tdh
Equity Zero Three Eight Nine Seven Zero B W Pb Vg Kyy B Fivef
Equity Zero Three Eight Nine Seven Zero S Ninex Tv Gfs T Twor Six
Equity Zero Three Eight Nine Seven Zerozc Vk Eightk W N Bb Sevenf
Equity Zero Three Eight Nine Seven Zerow Zero Nsdr Two Twohs Six Four
Equity Zero Three Eight Nine Seven Zero Sixwr Two Eight Cd V Two W T X
Equity Zero Three Eight Nine Seven Zerof L L G Tr Tyd J Tc
Equity Zero Three Eight Nine Seven Zerog Nine Gx T T H V Q V Fourg
Equity Zero Three Eight Nine Seven Zero Jq G G M Tgrqs Lm
Equity Zero Three Eight Nine Seven Zero Onebr Ntxhd N Fourn Q
Equity Zero Three Eight Nine Seven Zero Tt X Four Three Ffr Ht Onem
Stock Based Compensation Zero Three Eight Nine Seven Zeroq Sw S Eight One Dd X Fiveb J
Stock Based Compensation Zero Three Eight Nine Seven Zeros Qzbkf Twob Cf G P
Stock Based Compensation Zero Three Eight Nine Seven Zerohmm Pl C Pxq Four Three N
Stock Based Compensation Zero Three Eight Nine Seven Zero L L Nined Kbl S Seven Hv X
Stock Based Compensation Zero Three Eight Nine Seven Zero K Zerofb P Onet T Five L P Five
Stock Based Compensation Zero Three Eight Nine Seven Zerop Xkz Rr Six Nyv G Nine
Stock Based Compensation Zero Three Eight Nine Seven Zerohz Vn S Mbf Lr Nl
Stock Based Compensation Zero Three Eight Nine Seven Zerolx H Sx Bx Eightpb Nq
Stock Based Compensation Zero Three Eight Nine Seven Zerop Onek P Dkx Sevenkkb L
Stock Based Compensation Zero Three Eight Nine Seven Zerosp Hb Vrl K Gdwc
Stock Based Compensation Zero Three Eight Nine Seven Zero K Tlflqk F Sevenbt Seven
Stock Based Compensation Zero Three Eight Nine Seven Four Four One Fivey N Fournhd Q Q Nine Four Jk
Stock Based Compensation Zero Three Eight Nine Seven Zero F W X P D Zero Pc H Two Four X
Stock Based Compensation Zero Three Eight Nine Seven Zero Fivekvh Zerop Fx Three J Nine S
Stock Based Compensation Zero Three Eight Nine Seven Zero Ll Nine Gv Six L N Wv Twon
Stock Based Compensation Zero Three Eight Nine Seven Zero R Five Onen N S Eightz Seven K Mv
Stock Based Compensation Zero Three Eight Nine Seven Zeroltg Threemrc Br Zlt
Stock Based Compensation Zero Three Eight Nine Seven Zero Skxw One Twon H T S One Zero
Stock Based Compensation Zero Three Eight Nine Seven Zeror Clcbvx Three R W Lt
Stock Based Compensation Zero Three Eight Nine Seven Four Four One Fivepf J Four St Six K Ninef P Z
Stock Based Compensation Zero Three Eight Nine Seven Zero B Eight Tdv K Twokr Z Dw
Stock Based Compensation Zero Three Eight Nine Seven Zero Two Zero Four Six Zero Four C K N Vbb
Stock Based Compensation Zero Three Eight Nine Seven Zeroqc Seven Sevensz Five T C R S H
Stock Based Compensation Zero Three Eight Nine Seven Zerohhb Zero J Onepgv N Sixm
Stock Based Compensation Zero Three Eight Nine Seven Zeroc Ft Two V Kh K R One Two Nine
Loss Per Share Zero Three Eight Nine Seven Zero Zeron Nineb B Tqt X Eight Three F
Loss Per Share Zero Three Eight Nine Seven Four Four One Five M Threect N F Nv Ns M D
Loss Per Share Zero Three Eight Nine Seven Zeros D Dxz H Seven Sixyt Dt
Loss Per Share Zero Three Eight Nine Seven Zero Jty Q Xl Five Hkqz C
Subsequent Events Zero Three Eight Nine Seven Zero F X Twohvh Three Q Four F M Zero
Subsequent Events Zero Three Eight Nine Seven Zero K Eight Zero N T Rp V Z X One Eight
Subsequent Events Zero Three Eight Nine Seven Zero Q Five Seven Whp Zerok Mm Q D
Subsequent Events Zero Three Eight Nine Seven Zero Lsdbs Fh Wndy Three
Subsequent Events Zero Three Eight Nine Seven Zero Gnq Zeroy R S T Zero Zero S Q
Subsequent Events Zero Three Eight Nine Seven Four Four One Five Two Mv Jl S Seven C F C Th
Subsequent Events Zero Three Eight Nine Seven Four Four One Five Lry X W Qd Onens X C
Subsequent Events Zero Three Eight Nine Seven Four Four One Five Seven H M Sk G Two Zero Zs Qw
Subsequent Events Zero Three Eight Nine Seven Four Four One Five Sevenntl Threeb L One Four T Three S
Subsequent Events Zero Three Eight Nine Seven Zero B Z V Four Tk V Q C F Eight T
Subsequent Events Zero Three Eight Nine Seven Zerov Five S Fk M Two S Eightcxz
Subsequent Events Zero Three Eight Nine Seven Zero Vt S T One K Z Z J Wc F
Subsequent Events Zero Three Eight Nine Seven Zerog M M R Chy Four Seven K Xn
Subsequent Events Zero Three Eight Nine Seven Zero Zero C Ky C One H P Lh Cc
Subsequent Events Zero Three Eight Nine Seven Zero Threegk Two Rt Eight V B Xy X
Subsequent Events Zero Three Eight Nine Seven Zero H Six P Gs Threev Sevenc F Eightd
Subsequent Events Zero Three Eight Nine Seven Zerory D H Four Mr H Tn T V
Subsequent Events Zero Three Eight Nine Seven Zerobs C Four Zv T Nvb Xk
Subsequent Events Zero Three Eight Nine Seven Four Four One Five Sevenw Wp G Fivezfs Dc T
Subsequent Events Zero Three Eight Nine Seven Four Four One Fivesx Mph Nine C Tx G T Three
Subsequent Events Zero Three Eight Nine Seven Four Four One Fivesx Mph Nine C Tx G T Seven
Subsequent Events Zero Three Eight Nine Seven Four Four One Fivesx Mph Nine C Tx Nine
Subsequent Events Zero Three Eight Nine Seven Four Four One Fivesx Mph Nine C Yx H One
Subsequent Events Zero Three Eight Nine Seven Four Four One Fivesx Mph Nine C G Io Four
Weighted Average Useful Life (Years)
Knowhow [Member]
Weighted Average Useful Life (Years) (FiniteLivedIntangibleAssetUsefulLife)
The Contract Development And Manufacturing Organization [Member]
The Cellular Therapy Business [Member]
Operating expenses
Segment Performance
Sharebased Compensation
Acquisition Related Expenses
Financial income (expenses), net
Share In Losses Of Associated Company
Warrants Component
Price Protection Derivative Component
Shares Component
Fair Value Of The Instruments Issued As Of The Conversion Dates
Private Placement Warrants Component
Private Placement Price Protection Derivative Component
Private Placement Shares Component
Private Placement Fair Value Of The Instruments Issued
November Two Zero One Three [Member]
December Two Zero One Three [Member]
March Two Zero One Four [Member]
April Two Zero One Four [Member]
July Two Zero One Four [Member]
July Two Zero One Four Two [Member]
August Two Zero One Four [Member]
October Two Zero One Five [Member]
November Two Zero One Five [Member]
December Two Zero One Five [Member]
February Two Zero One Six [Member]
March Two Zero One Six [Member]
April Two Zero One Six [Member]
May Two Zero One Six [Member]
June Two Zero One Six [Member]
July Two Zero One Six [Member]
August Two Zero One Six [Member]
September Two Zero One Six [Member]
October Two Zero One Six [Member]
November Two Zero One Six [Member]
December Two Zero One Six [Member]
January Two Zero One Seven [Member]
February Two Zero One Seven [Member]
March Two Zero One Seven [Member]
April Two Zero One Seven [Member]
May Two Zero One Seven [Member]
June Two Zero One Seven [Member]
July Two Zero One Seven [Member]
August Two Zero One Seven [Member]
September Two Zero One Seven [Member]
October Two Zero One Seven [Member]
November Two Zero One Seven [Member]
Number of Warrants Issued and Outstanding
Exercise Price / Adjusted Exercise Price
Exercise price
Share Based Compensation Arrangement By Share Based Payment Award Options Grants In Period Vesting Period
Share Based Compensation Arrangement By Share Based Payment Award Options Grants In Period Grant Date Fair Value
Share Based Compensation Arrangement By Share Based Payment Award Options Grants In Period Expiration Period
Nonemployee Ranges [Axis]
Nonemployee One [Member]
Nonemployee Two [Member]
Value of one common share
Dividend yield
Expected stock price volatility
Risk free interest rate
Expected term (years)
Earnings (loss) for the period
Embedded derivatives convertible loans
Fair value of shares of common stock
Expected volatility
Discount on lack of marketability
Risk free interest rate (FairValueAssumptionsRiskFreeInterestRate)
Expected term (years) (FairValueAssumptionsExpectedTerm)
Expected dividend yield
Probability Of External Investment In Atvio
Cost Of Debt
Revenues Multiplier Distribution
Repayment
Additions To Financial Liabilities
Conversion Of Financial Liabilities
Changes In Fair Value Related To Price Protection Derivative Expired
Changes In Fair Value Related To Warrants Expired
Changes In Fair Value During The Period
Changes In Fair Value Due To Extinguishment Of Convertible Loan
Translation Adjustments To Financial Liabilities
Base Minus One Zero [Member]
Base Plus One Zero [Member]
Base Minus Five Zero [Member]
Base Plus Five Zero [Member]
Sensitivity Analysis Due To Changes In The Assumptions
Sensitivity Analysis Due To Changes In Atvio S Fv
Gross Carrying Amount
Accumulated amortization
Net carrying amount of other intangible assets
Amortization expenses, Next Twelve Months
Amortization expenses, to Year Five
Research and development expenses
Employee benefits
Property and equipment
Deferred Tax Assets Convertible Bonds
Deferred income (DeferredTaxAssetsDeferredIncome)
Intangible assets
Less: Valuation allowance
Additions during the year
Decrease In Fair Value Of Warrants And Financial Liabilities Measured At Fair Value
Stock Based Compensation Related To Warrants Granted Due To Issuance Of Credit Facility
Interest Expense On Convertible Loans
Foreign exchange loss, net
Other Income (OtherIncome)
Total Financial Expenses
Management And Consulting Fees To The Chairman Of The Board
Compensation to the nonexecutive directors (except the Chairman of the Board)
Convertible loan from a related Fund
Redeemable common stock (BusinessCombinationConsiderationTransferredEquityInterestsIssuedAndIssuable)
Less convertible bonds
Total fair value of consideration transferred