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FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Sep. 30, 2022
Fair Value Disclosures [Abstract]  
Schedule Of Fair Value Measurement Of Assets And Liabilities Based On Hierarchy
The following table presents information about the Company’s assets and liabilities that are measured at fair value on a recurring basis as of September 30, 2022 and December 31, 2021 and indicates the fair value hierarchy of the valuation inputs the Company utilized to determine such fair value:
DescriptionLevelSeptember 30, 2022December 31, 2021
Assets:
Investments held in the Trust Account$155,895,118 $155,258,024 
Liabilities:
Warrant liability—Public Warrants$426,373 $3,482,017 
Warrant liability—Private Placement Warrants$847,422 $6,389,052 
Schedule Of Assumptions Used In Estimating The Fair Value Of Warrants
The following table provides quantitative information regarding Level 3 fair value measurements:
As of September 30, 2022As of December 31, 2021
Stock price$8.74$9.32
Strike price$11.50$11.50
Public Warrant price$0.11$0.90
Term (in years)5.05.0
Volatility (pre-merger)10.00 %10.00 %
Volatility (post-merger)40.00 %40.00 %
Risk-free rate3.96 %1.31 %
Dividend yield0.00 %0.00 %
Summary of changes in the fair value of warrant liabilities
The following table presents the changes in the fair value of Level 3 warrant liabilities:
Private
Placement Warrants
Fair value as of December 31, 2021$6,389,052 
Change in valuation inputs or other assumptions(5,541,630)
Fair value of Level 3 warrant liabilities as of September 30, 2022$847,422 

Private
Placement Warrants
Public WarrantsWarrant Liabilities
Fair value as of March 8, 2021$6,091,858 $3,326,894 $9,418,752 
Change in valuation inputs or other assumptions1,769,596 962,175 2,731,771 
Fair value of Warrants transferred out of Level 3— (4,289,069)(4,289,069)
Fair value of Level 3 warrant liabilities as of September 30, 2021$7,861,454 $— $7,861,454