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Fair Value Measurements - Assets and Liabilities Measured at Fair Value on Recurring Basis (Details) - USD ($)
$ in Thousands
Dec. 31, 2021
Dec. 31, 2020
Aug. 31, 2020
Jul. 31, 2020
Dec. 31, 2019
Liabilities:          
Warrants liability $ 0 $ 42,452 $ 42,300 $ 2,000 $ 0
Recurring Basis          
Assets:          
Total 1,077,550 279,279      
Liabilities:          
Warrants liability   42,452      
Total   42,452      
Recurring Basis | Level 1          
Assets:          
Total 1,077,550 279,279      
Liabilities:          
Warrants liability   0      
Total   0      
Recurring Basis | Level 2          
Assets:          
Total 0 0      
Liabilities:          
Warrants liability   0      
Total   0      
Recurring Basis | Level 3          
Assets:          
Total 0 0      
Liabilities:          
Warrants liability   42,452      
Total   42,452      
Recurring Basis | Certificates of deposit          
Assets:          
Cash equivalents:   279,279      
Recurring Basis | Certificates of deposit | Level 1          
Assets:          
Cash equivalents:   279,279      
Recurring Basis | Certificates of deposit | Level 2          
Assets:          
Cash equivalents:   0      
Recurring Basis | Certificates of deposit | Level 3          
Assets:          
Cash equivalents:   $ 0      
Recurring Basis | Money market funds          
Assets:          
Cash equivalents: 1,077,550        
Recurring Basis | Money market funds | Level 1          
Assets:          
Cash equivalents: 1,077,550        
Recurring Basis | Money market funds | Level 2          
Assets:          
Cash equivalents: 0        
Recurring Basis | Money market funds | Level 3          
Assets:          
Cash equivalents: $ 0