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Fair Value Measurements (Tables)
8 Months Ended
Dec. 31, 2021
Fair Value Disclosures [Abstract]  
Summary of Fair Value Assets and Liabilities Measured on Recurring Basis
The following table presents information about the Company’s financial liabilities that are measured at fair value on a recurring basis as of the initial issuance date, December 31, 2021, by level within the fair value hierarchy:
 
Description
  
Quoted Prices
in Active

Markets

(Level 1)
    
Significant
Other

Observable

Inputs
(Level 2)
    
Significant
Other

Unobservable
Inputs

(Level 3)
 
Assets:
                          
Investments held in Trust Account - U.S. Treasury Securities
   $ 234,616,804      $ —        $ —    
Liabilities:
                          
Private Placement Warrants
   $ —        $ —        $ 5,824,000  
Schedule of Quantitative Information Regarding Level 3 Fair Value Measurements Inputs at their measurements dates
The following table provides quantitative information regarding Level 3 fair value measurements inputs at their measurement dates:
 
    
At
initial
issuance
   
As of
December 31,
2021
 
Exercise price
   $ 11.50     $ 11.50  
Stock price
   $ 9.57     $ 9.98  
Volatility
     25.0     10.0
Term (years)
     5.5       5.5  
Risk-free rate
     0.9     1.3
Dividend yield
     0.0     0.0
Summary of Change in Fair value of Level 3 Deribvative Warrant Liabilities
The change in the fair value of Level 3 derivative warrant liabilities for the period from April 19, 2021 (inception) through December 31, 2021, is summarized as follows:
 
         
Derivative warrant liabilities at April 19, 2021 (inception)
   $
  
 
Issuance of Private Warrants
    
15,456,000
 
Change in fair value of derivative warrant liabilities -private
    
(9,632,000
    
 
 
 
Derivative warrant liabilities at December 31, 2021
   $
5,824,000