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Fair Value Measurements - Summary of reconciliation of the Company's financial asset and liability measured at fair value (Detail)
$ in Thousands
3 Months Ended
Mar. 31, 2021
USD ($)
Embedded derivative [Member]  
Disclosure Of Reconciliation Of The Companys Financial Asset And Liability Measured At Fair Value [Line Items]  
Balance beginning $ 5,680
Addition related to the issuance of term loans in February 2021 5,630
Extinguishment of term loans in February 2021 (1,130)
Change in fair value recognized in earnings 6,560
Balance ending 16,740
Convertible security [Member]  
Disclosure Of Reconciliation Of The Companys Financial Asset And Liability Measured At Fair Value [Line Items]  
Balance beginning 46,500
Change in fair value recognized in earnings 700
Balance ending $ 47,200