XML 30 R19.htm IDEA: XBRL DOCUMENT v3.21.1
Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2021
Fair Value Disclosures [Abstract]  
Schedule of fair value on a recurring basis
Description  Level   March 31,
2021
   December 31,
2020
 
Assets:              
Marketable securities held in Trust Account  1   $229,780,529   $229,884,479 
               
Liabilities:              
Warrant Liability – Private Placement Warrants  3    1,593,397    630,224 
Schedule of model for the private placement warrants
Input  March 31,
2021
  

December 31,
2020

 
Risk-free interest rate   0.82%   0.35%
Trading days per year   252    252 
Expected volatility   21.8%   17.4%
Exercise price  $11.50   $11.50 
Stock Price  $12.06   $10.00 
Schedule of changes in the fair value of warrant liabilities
  Private
Placement
Warrants
 
Fair value as of January 1, 2021  $630,224 
Change in valuation inputs or other assumptions   963,173 
Fair value as of March 31, 2021  $1,593,397