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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2022
Fair Value Measurements  
Schedule of assets measured at fair value

December 31, 2022

December 31, 2021

Total

Level 1

Level 2

Total

Level 1

Level 2

Assets

Cash equivalents

$

184,977

184,977

$

156,782

156,782

Commercial paper

27,388

27,388

Corporate debt securities

70,608

70,608

U.S. government securities

3,903

3,903

Total

$

286,876

184,977

101,899

$

156,782

156,782

Schedule of range of assumptions used to determine the fair value of the warrant liability

Dividend yield

    

0.0

%

Expected volatility

 

54.2% - 68.8

%

Risk-free interest rate

 

0.17% - 1.56

%

Lack of marketability discount

 

0.0

%

Expected term (years)

 

1 - 4.5