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STATEMENT OF CASH FLOWS
12 Months Ended
Dec. 31, 2021
USD ($)
Cash Flows from Operating Activities:  
Net income $ 6,224,020
Adjustments to reconcile net income to net cash used in operating activities:  
Trust interest income (13,061)
Change in fair value of liabilities (8,777,435)
Warrant issuance costs 539,844
Changes in current assets and liabilities:  
Prepaid expenses (397,692)
Accounts payable 1,572,476
Due to related party 222
Net cash used in operating activities (1,158,760)
Cash Flows from Investing Activities:  
Marketable securities held in Trust Account (213,088,130)
Net cash used in investing activities (213,088,130)
Cash Flows from Financing Activities:  
Proceeds from Initial Public Offering, net of underwriters' fees 208,826,366
Proceeds from private placement 7,661,764
Proceeds from issuance of founder shares 25,000
Repayment to promissory note to related party (60,094)
Payments of offering costs (491,224)
Net cash provided by financing activities 215,961,812
Net Change in Cash 1,714,922
Cash - Beginning 0
Cash - Ending 1,714,922
Non-Cash Investing and Financing Activities:  
Deferred underwriting commissions charged to additional paid in capital 7,458,085
Accretion of Class A Ordinary shares to redemption value 21,118,751
Initial classification of warrant liability 16,141,749
Deferred offering costs paid by Sponsor loan 60,094
Over-Allotment Option [Member]  
Adjustments to reconcile net income to net cash used in operating activities:  
Change in fair value of liabilities $ (307,134)