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Recurring Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2021
Fair Value Disclosures [Abstract]  
Schedule of fair value, assets and liabilities measured on recurring basis
       Quoted   Significant   Significant 
       Prices In   Other   Other 
       Active   Observable   Observable 
   December 31,   Markets   Inputs   Inputs 
   2021   (Level 1)   (Level 2)   (Level 3) 
Assets:                    
Cash held in Trust Account  $172,516,200   $172,516,200   $
   $
 
    172,516,200    172,516,200    
    
 
                     
Liabilities:                    
Public Warrants  $8,337,500   $8,337,500   $
   $
 
Private Placement Warrants   261,733    
    
    261,733 
Warrant Liability  $8,599,233   $8,337,500   $
   $261,733 

 

Schedule of fair value of initial measurement
   February 23, 
   2021 
Inputs  (Initial Measurement) 
Risk-free interest rate   0.9%
Expected term (years)   6.4 
Expected volatility   14.0%
Exercise price  $11.50 

 

   December 31, 
Inputs  2021 
Risk-free interest rate   1.30%
Expected term (years)   5.5 
Expected volatility   18.5%
Exercise price  $11.50 
Dividend yield   
-
 

 

Schedule of change in fair value of level 3 warrant liabilities
Warrant liability at January 1, 2021  $
 
Initial warrant liability at February 23,2021  5,276,966 
Transfer of public warrants to Level 1   (5,117,500)
Change in fair value of warrant liability   102,267 
Warrant liability at December 31,2021  $261,733