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Fair Value Measurements - Fair value on recurring basis (Details) - USD ($)
Dec. 31, 2021
Dec. 31, 2020
Assets:    
Investments held in Trust Account $ 218,445,931 $ 218,402,560
Liabilities:    
Financial Instruments Subject to Mandatory Redemption, Settlement Terms, Fair Value of Shares 10,487,550 21,175,240
U.S. Treasury Securities | Level 1 | Recurring    
Assets:    
Investments held in Trust Account 218,445,578 218,401,527
U.S. Treasury Securities | Level 2 | Recurring    
Assets:    
Investments held in Trust Account   0
U.S. Treasury Securities | Level 3 | Recurring    
Assets:    
Investments held in Trust Account   0
Derivative warrant liabilities | Level 2 | Recurring    
Liabilities:    
Financial Instruments Subject to Mandatory Redemption, Settlement Terms, Fair Value of Shares   0
Derivative warrant liabilities | Level 3 | Recurring    
Liabilities:    
Financial Instruments Subject to Mandatory Redemption, Settlement Terms, Fair Value of Shares   $ 21,175,240
Derivative warrant liabilities | Public Warrants | Level 1 | Recurring    
Liabilities:    
Financial Instruments Subject to Mandatory Redemption, Settlement Terms, Fair Value of Shares 6,624,440  
Derivative warrant liabilities | Private Warrants | Level 3 | Recurring    
Liabilities:    
Financial Instruments Subject to Mandatory Redemption, Settlement Terms, Fair Value of Shares $ 3,863,110