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Fair Value of Financial Instruments (Tables)
3 Months Ended
Mar. 31, 2021
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
The following table provides information by level for the Company’s assets and liabilities that were measured at fair value on a recurring basis (in thousands):
March 31, 2021
Level 1Level 2Level 3Total
Assets
Money market funds$6,493 $— $— $6,493 
Total financial assets$6,493 $— $— $6,493 
Liabilities
Warrant liabilities$— $— $14,725 $14,725 
Total financial liabilities$— $— $14,725 $14,725 
December 31, 2020
Level 1Level 2Level 3Total
Assets
Money market funds$10,493 $— $— $10,493 
Total financial assets$10,493 $— $— $10,493 
Liabilities
Warrant liabilities$— $— $49,293 $49,293 
Total financial liabilities$— $— $49,293 $49,293 
Schedule of Changes in Fair Value of Level 3 Financial Instruments
The following table presents a summary of the changes in the fair value of the Company’s Level 3 financial instruments (in thousands):
Redeemable
Convertible
Preferred Stock
Warrant Liability
Private Placement Warrant LiabilityDerivative
Liability
Fair value as of January 1, 2020$(162)$— $— 
Change in the fair value included in other income (expense), net— — (5,308)
Fair value as of March 31, 2020(162)— (5,308)
Redeemable
Convertible
Preferred Stock
Warrant Liability
Private Placement Warrant LiabilityDerivative
Liability
Fair value as of January 1, 2021(49,293)— — 
Private placement warrant liability acquired as part of the merger— (19,377)— 
Change in the fair value included in other income (expense), net(8,804)4,652 — 
Issuance of preferred stock upon exercise of warrants58,097 — — 
Fair value as of March 31, 2021$— $(14,725)$—