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CONDENSED STATEMENT OF CASH FLOWS (Unaudited) - USD ($)
2 Months Ended 3 Months Ended
Mar. 31, 2021
Mar. 31, 2022
Cash Flows From Operating Activities:    
Net Income $ 1,518,550 $ 3,691,954
Adjustments To Reconcile Net Income To Net Cash Used In Operations    
Fair Value Adjustment Of Public Warrants (850,000) (2,251,051)
Fair Value Adjustment Of Private Warrants (684,000) (1,677,697)
Changes In Operating Assets And Liabilities:    
Account Receivable - Related Party 0 408,875
Prepaid Insurance (410,154) (104,228)
Deposits 0 (75,000)
Accounts Payable 0 0
Net Used In Operating Activities (425,604) (9,147)
Cash Flows From Investing Activities    
Investment Of Cash In Trust Account (101,000,000) 90,046,406
Cash Flows From Financing Activities:    
Proceeds From Initial Stockholders 25,000 0
Proceeds From Sale Of Units, Net Underwriting Discounts Paid 98,539,704 (90,328,901)
Proceeds From Sale Of Private Warrants 3,850,000 0
Proceeds From Promissory Note - Related Party 485,900 0
Repayment Of Promissory Note - Related Party (485,900) 0
Proceeds From Advance - Related Party 760,000 0
Repayment Of Advance - Related Party (760,000) 0
Net Cash Provided By Financing Activities 102,414,704 (90,328,901)
Net Change In Cash 989,100 (291,642)
Cash - Beginning Of Period 0 293,153
Cash - Ending Of Period $ 989,100 $ 1,511