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Restatement of Previously Issued Financial Statements (Tables)
12 Months Ended
Dec. 31, 2020
Condensed Financial Information Disclosure [Abstract]  
Schedule of restatement of balance sheet
   As
Previously
Reported
   Adjustments   As
Restated
 
Balance sheet as of November 7, 2019 (audited)            
Warrant Liability  $   $3,037,500   $3,037,500 
Common Stock Subject to Possible Redemption   115,562,660    (3,037,500)   112,525,160 
Common Stock   401    31    432 
Additional Paid-in Capital   5,000,221    19,915    5,020,136 
Accumulated Deficit   (621)   (19,946)   (20,567)
                
Balance sheet as of December 31, 2019 (audited)               
Warrant Liability  $   $1,975,155   $1,975,155 
Common Stock Subject to Possible Redemption   125,680,303    (1,975,155)   123,705,148 
Common Stock   382    20    402 
Additional Paid-in Capital   4,898,117    (1,204,671)   3,693,446 
Retained Earnings   101,502    1,204,651    1,306,153 
                
Balance sheet as of March 31, 2020               
Warrant Liability  $   $1,975,155   $1,975,155 
Common Stock Subject to Possible Redemption   126,056,624    (1,975,155)   124,081,469 
Common Stock   382    20    402 
Additional Paid-in Capital   4,521,796    (1,204,671)   3,317,125 
Retained Earnings   477,832    1,204,651    1,682,483 
                
Balance sheet as of June 30, 2020               
Warrant Liability  $   $1,975,155   $1,975,155 
Common Stock Subject to Possible Redemption   125,957,664    (1,975,155)   123,982,509 
Common Stock   383    20    403 
Additional Paid-in Capital   4,620,755    (1,204,671)   3,416,084 
Retained Earnings   378,866    1,204,651    1,583,517 
                
Balance sheet as of September 30, 2020               
Warrant Liability  $   $2,172,671   $2,172,671 
Common Stock Subject to Possible Redemption   125,871,358    (2,172,671)   123,698,687 
Common Stock   383    22    405 
Additional Paid-in Capital   4,707,061    (1,007,157)   3,699,904 
Retained Earnings   292,558    1,007,135    1,299,693 
                
Balance sheet as of December 31, 2020 (audited)               
Warrant Liability  $   $3,950,311   $3,950,311 
Common Stock Subject to Possible Redemption   125,781,370    (3,950,311)   121,831,059 
Common Stock   384    40    424 
Additional Paid-in Capital   4,797,048    770,465    5,567,513 
Retained Earnings (Accumulated Deficit)   202,578    (770,505)   (567,927)
                
Statement of Operations for the Period from June 20, 2019 (inception) Through December 31, 2019 (audited)               
Change in fair value of warrant liability  $   $1,224,597   $1,224,597 
Transaction costs allocable to warrant liability       (19,946)   (19,946)
Net income   101,502    1,204,651    1,306,153 
Weighted average shares outstanding, Common Stock subject to possible redemption   12,446,534    (318,172)   12,128,362 
Basic and diluted net income per share, Common Stock subject to possible redemption   0.01        0.01 
Weighted average shares outstanding, Common Stock   3,305,465    88,564    3,394,029 
Basic and diluted net loss per share, Common Stock   0.03    0.30    0.33 
                
Statement of Operations for the Three Months Ended March 31, 2020 (unaudited)               
Weighted average shares outstanding, Common Stock subject to possible redemption   12,550,477    (197,240)   12,353,237 
Basic and diluted net income per share, Common Stock subject to possible redemption   0.04        0.04 
Weighted average shares outstanding, Common Stock   3,821,463    197,240    4,018,703 
Basic and diluted net loss per share, Common Stock   (0.04)       (0.04)
Schedule of restatement of operations statement

     As
Previously
Reported  
    Adjustments    As
Restated
 
Statement of Operations for the Six Months Ended June 30, 2020 (unaudited)               
Weighted average shares outstanding, Common Stock subject to possible redemption   12,553,036    (196,999)   12,356,037 
Basic and diluted net income per share, Common Stock subject to possible redemption   0.04        0.04 
Weighted average shares outstanding, Common Stock   3,818,918    196,986    4,015,904 
Basic and diluted net loss per share, Common Stock   (0.07)   0.01    (0.06)
                
Statement of Operations for the Nine Months Ended September 30, 2020 (unaudited)               
Change in fair value of warrant liability  $   $(197,516)  $197,516 
Net income (loss)   191,056    (197,516)   (6,460)
Weighted average shares outstanding, Common Stock subject to possible redemption   12,550,512    (196,900)   12,353,612 
Basic and diluted net income per share, Common Stock subject to possible redemption   0.05        0.05 
Weighted average shares outstanding, Common Stock   3,821,429    196,899    4,018,328 
Basic and diluted net loss per share, Common Stock   (0.10)   (0.04)   (0.14)
                
Statement of Operations for the Year Ended December 31, 2020 (audited)               
Change in fair value of warrant liability  $   $(1,975,156)  $(1,975,156)
Net income (loss)   101,076    (1,975,156)   (1,874,080)
Weighted average shares outstanding, Common Stock subject to possible redemption   12,547,286    (201,796)   12,345,490 
Basic and diluted net income per share, Common Stock subject to possible redemption   0.05        0.05 
Weighted average shares outstanding, Common Stock   3,824,645    201,805    4,026,450 
Basic and diluted net loss per share, Common Stock   (0.12)   (0.48)   (0.60)
                
Cash Flow Statement for the Year Ended December 31, 2019 (audited)               
Net income  $101,502   $1,204,651   $1,306,153 
Change in fair value of warrant liability       (1,224,597)   (1,224,597)
Transaction costs associated with Initial Public Offering       19,946    19,946 
Initial classification of Common Stock subject to possible redemption   125,578,180    (3,199,752)   122,378,428 
Change in value of Common Stock subject to possible redemption   102,123    1,224,597    1,326,720 
                
Cash Flow Statement for the Nine Months Ended September 30, 2020 (unaudited)               
Net income (loss)  $191,056   $(197,516)  $(6,460)
Change in fair value of warrant liability       197,516    197,516 
Change in value of Common Stock subject to possible redemption   191,055    (197,516)   (6,461)
                
Cash Flow Statement for the Year Ended December 31, 2020 (audited)               
Net income (loss)  $101,076   $(1,975,156)  $(1,874,080)
Change in fair value of warrant liability       1,975,156    1,975,156 
Change in value of Common Stock subject to possible redemption   101,067    (1,975,156)   (1,874,089)