SCHEDULE 1 - PARENT ONLY FINANCIAL INFORMATION (Tables)
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12 Months Ended | 
Dec. 31, 2022  | 
| Condensed Financial Information Disclosure [Abstract] | 
 
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| Summary of Condensed Balance Sheet | 
 Condensed Balance Sheet (in thousands USD)  
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December 31, 2022 | 
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December 31, 2021 | 
 
| Assets | 
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| Non-current assets | 
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| Investment in subsidiaries | 
$ | 
192,549  | 
 | 
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$ | 
256,725  | 
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| Total non-current assets | 
192,549  | 
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 | 
256,725  | 
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| Total assets | 
$ | 
192,549 
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$ | 
256,725 
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| Liabilities and stockholders’ equity | 
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| Long-term liabilities | 
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| Warrant liability | 
33  | 
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 | 
286  | 
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| Total liabilities | 
$ | 
33 
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$ | 
286 
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| Stockholders’ equity | 
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Common stock, voting; par value $0.0001 per share; 315,000,000 shares authorized, 76,292,241 and 72,027,743 shares issued and outstanding at December 31, 2022, and December 31, 2021  | 
8  | 
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7  | 
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| Additional paid-in capital | 
435,293  | 
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 | 
401,690  | 
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| Accumulated other comprehensive loss | 
(6,390) | 
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 | 
(3,463) | 
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| Accumulated deficit | 
(236,394) | 
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 | 
(141,795) | 
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| Total stockholders’ equity | 
$ | 
192,517 
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$ | 
256,439 
 | 
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| Total liabilities and stockholders’ equity | 
$ | 
192,550 
 | 
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$ | 
256,725 
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| Summary of Condensed Statements of Loss and Comprehensive Loss | 
 
Condensed Statements of Loss and Comprehensive Loss (in thousands USD)
 
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| For the years ended | 
December 31, 2022 | 
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December 31, 2021 | 
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| Equity in net loss of unconsolidated subsidiaries | 
$ | 
(94,759) | 
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$ | 
(29,892) | 
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| Change in fair value of warrant liability | 
(254) | 
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(5,267) | 
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| Loss before income taxes | 
(94,505) | 
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(24,625) | 
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| Net loss | 
$ | 
(94,505) | 
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$ | 
(24,625) | 
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| Other comprehensive loss: | 
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| Foreign currency translation adjustment | 
(2,927) | 
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(1,987) | 
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| Comprehensive loss | 
$ | 
(97,432) | 
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$ | 
(26,612) | 
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| Summary of Condensed Statements of Cash Flows | 
 Condensed Statements of Cash Flows (in thousands USD) 
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| For the years ended | 
December 31, 2022 | 
 | 
December 31, 2021 | 
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| Cash flows from operating activities | 
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| Net loss | 
$ | 
(94,505) | 
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$ | 
(24,625) | 
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| Adjustments to reconcile net loss to net cash provided by operating activities | 
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| Equity in net loss of unconsolidated subsidiaries | 
94,759  | 
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29,892  | 
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| Change in fair value of warrant liability | 
(254) | 
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(5,267) | 
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| Cash provided by operating activities | 
$ | 
— 
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$ | 
— 
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| Cash flows from investing activities | 
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| Distribution from subsidiary | 
— 
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5,947  | 
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| Cash provided by investing activities | 
$ | 
—  | 
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$ | 
5,947 
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| Issuance of common stock, net of transaction costs | 
—  | 
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223,968  | 
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| Settlement of preferred stock | 
— 
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(229,915) | 
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| Cash used in financing activities | 
$ | 
—  | 
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$ | 
(5,947) | 
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| Effect of exchange rate change on cash and restricted | 
—  | 
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—  | 
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| Change in cash and restricted cash | 
—  | 
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—  | 
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| Cash and restricted cash, beginning of year | 
— 
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— 
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| Cash and restricted cash, end of year | 
$ | 
—  | 
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$ | 
—  | 
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| Non-cash investing and financing activities: | 
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| Fair value of KORE common stock issued pursuant to acquisition | 
$ | 
23,295  | 
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$ | 
—  | 
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| Share-based payment awards issued to employees of subsidiaries | 
10,296  | 
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1,839  | 
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