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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2021
Fair Value Disclosures [Abstract]  
Schedule of assets and liabilities that are measured at fair value on a recurring basis
Description  Level  December  31,
2021
 
Assets:        
Marketable securities held in Trust Account – U.S. Treasury Securities Money Market Fund  1  $150,004,512 
         
Liabilities:        
Warrant liabilities – Public Warrants  1  $3,975,000 
Warrant liabilities – Private Placement Warrants  2  $145,750 

 

Schedule of private placement and public warrants at inception
Input 

July 27,
2021

 
Stock price  $9.43 
Exercise price  $11.50 
Expected term in years   5.5 
Volatility   20%
Risk Free rate   0.8%
Dividend yield   0.0%

 

Schedule of changes in the fair value of level 3 warrant liabilities
    Private Placement Warrants     Public
Warrants
    Total 
Warrant Liabilities
 
Fair value as of January 1, 2021 (commencement of operations)   $
    $
    $
 
Initial measurement on July 27, 2021     258,500       7,050,000       7,308,500  
Fair value as of July 27, 2021     258,500       7,050,000       7,308,500  
Change in fair value     (107,250 )     (2,925,000 )     (3,032,250 )
Transfer to level 1    
      (4,125,000 )     (4,125,000 )
Transfer to level 2     (151,250 )    
      (151,250 )
    $
    $
    $