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Business Combinations - Schedule Of Recapitalization (Details) - USD ($)
$ in Thousands
12 Months Ended
Sep. 29, 2021
Dec. 31, 2021
Business Combination and Asset Acquisition [Abstract]    
Cash - STPC trust and working capital cash $ 95,318  
Cash - PIPE Financing 225,000  
Non-cash net assets assumed from STPC 642  
Less: fair value of assumed common stock Public Warrants and Private Placement Warrants (50,850)  
Less: transaction costs allocated to equity (36,770)  
Net impact on total stockholders' equity 233,340  
Less: cash payments for transaction costs at Closing (34,940)  
Less: non-cash net assets assumed from STPC (642)  
Add: transaction costs allocated to equity 36,770  
Add: fair value of assumed common stock Public Warrants and Private Placement Warrants 50,850  
Net impact on net cash provided by financing activities 285,378  
Less: transaction costs included in net cash used in operating activities(a) (11,693)  
Total net increase in cash and cash equivalents $ 273,685  
Transaction costs   $ 3,926