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Reverse Recapitalization - Summary of Business Acquisition Elements Reconciled To Consolidated Financial Statements (Detail)
$ in Thousands
3 Months Ended
Mar. 31, 2022
USD ($)
Schedule Of Business Acquisition Elements Reconciled To Consolidated Financial Statements [Line Items]  
Cash - CCAC's trust and cash (net of redemption) $ 13,414
Issuance of PIPE shares 36,950
Less: transaction costs and advisory fees paid (6,609)
Net cash from Business Combination and PIPE Financing 43,755
Less non-cash net liabilities assumed from CCAC (15,955)
Net contributions from Business Combination and PIPE Financing $ 27,800