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STATEMENTS OF CASH FLOWS - USD ($)
3 Months Ended
Mar. 31, 2022
Mar. 31, 2021
Cash Flows from Operating Activities:    
Net income $ 3,628,047 $ 3,112,761
Adjustments to reconcile net income to net cash used in operating activities:    
Change in fair value of derivative warrant liabilities (3,785,160) (4,248,830)
Financing costs - derivative warrant liabilities   449,070
Income from investments held in Trust Account (28,158) (3,630)
Changes in operating assets and liabilities:    
Prepaid expenses 6,671 (408,838)
Accounts payable 55,451 298,332
Accrued expenses   313,750
Franchise tax payable 48,767 1,183
Net cash used in operating activities (74,382) (486,202)
Cash Flows from Investing Activities    
Cash deposited in Trust Account   (345,000,000)
Net cash used in investing activities   (345,000,000)
Cash Flows from Financing Activities:    
Repayment of note payable   (130,000)
Proceeds received from initial public offering, gross   345,000,000
Proceeds received from private placement   8,900,000
Offering costs paid (70,000) (7,118,422)
Net cash (used by) provided by financing activities (70,000) 346,651,578
Net (decrease) increase in cash (144,382) 1,165,376
Cash - beginning of the period 252,601 16,110
Cash - end of the period $ 108,219 1,181,486
Supplemental disclosure of noncash financing activities:    
Offering costs included in accrued expenses   95,000
Deferred underwriting commissions   12,075,000
Offering costs charged to additional paid-in capital in connection with the initial public offering   $ 588,562