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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Dec. 31, 2020
FAIR VALUE MEASUREMENTS [Abstract]  
Assets and Liabilities Measured at Fair Value on Recurring Basis
The following table presents information about the Company’s assets that are measured at fair value on a recurring basis at December 31, 2020 and December 31, 2019, and indicates the fair value hierarchy of the valuation inputs the Company utilized to determine such fair value:
 
Description
 
Level
  
December 31,
2020
  
December 31,
2019
 
Assets:
         
Marketable securities held in Trust Account
  
1
  
$
254,187,706
  
$
251,924,993
 
Liabilities
            
Warrant Liability – Public Warrants
  
1
   
41,000,000
   
5,000,000
 
Warrant Liability – Private Placement Warrants
  
3
   
22,680,000
   
8,260,000
 
Changes in Fair Value of Warrant Liabilities
The following table presents the changes in the fair value of warrant liabilities:
 
  
Private Placement
  
Public
  
Warrant
Liabilities
 
Fair value as of June 7, 2019
 
$
  
$
  
$
 
Initial measurement on August 12, 2019
  
7,280,000
   
10,625,000
   
17,905,000
 
Change in valuation inputs or other assumptions
  
980,000
   
(5,625,000
)
  
(4,645,000
)
Fair value as of December 31, 2019
  
8,260,000
   
5,000,000
   
13,260,000
 
Change in valuation inputs or other assumptions
  
14,420,000
   
36,000,000
   
50,420,000
 
Fair value as of December 31, 2020
 
$
22,680,000
  
$
41,000,000
  
$
63,680,000