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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2020
Fair Value Disclosures [Abstract]  
Schedule of assets are measured at fair value on a recurring basis

Description  Level   December 31,
2020
   December 31,
2019
 
Assets:            
Cash and marketable securities held in Trust Account   1   $130,681,047   $130,311,535 
                
Liabilities:               
Warrant Liability – Private Warrants   3    3,950,311    1,975,155 
Schedule of quantitative information regarding Level 3 fair value measurements

   December 31,
2020
   December 31,
2019
 
Exercise price  $11.50   $11.50 
Stock price  $10.20   $9.74 
Volatility   17.2%   9.1%
Term   5.00    5.00 
Risk-free rate   0.29%   1.70%
Dividend yield   0.0%   0.0%
Schedule of changes in fair value of warrant liabilities

   Private Placement 
Fair value as of June 20, 2019 (inception)  $ 
Initial measurement on November 7, 2019 (Initial Public Offering, including over-allotment)   3,199,752 
Change in fair value   (1,224,597)
Fair value as of December 31, 2019   1,975,155 
Change in fair value   1,975,156 
Fair value as of December 31, 2020  $3,950,311