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Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2021
Fair Value Disclosures [Abstract]  
Schedule of assets are measured at fair value on a recurring basis
Description   Level     March 31,
2021
    December 31,
2020
 
Assets:                      
Marketable securities held in Trust Account   1     $ 130,321,942     $ 130,681,047  
                       
Liabilities:                      
Warrant Liability – Private Placement Warrants   3     $ 4,661,367     $ 3,950,311  
Schedule of quantitative information regarding Level 3 fair value measurements
   

March 31,
2021

    December 31,
2020
 
Exercise price   $ 11.50     $ 11.50  
Stock price   $ 9.88     $ 10.20  
Volatility     21.3 %     17.2 %
Term     5.00       5.00  
Risk-free rate     0.63 %     0.29 %
Dividend yield     0.0 %     0.0 %
Schedule of changes in fair value of warrant liabilities
  Private Placement  
Fair value as of December 31, 2020   $ 3,950,311  
Change in fair value     711,056  
Fair value as of March 31, 2021     4,661,367