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Convertible notes payable to a related party (Details) - Convertible notes payable to a related party
$ / shares in Units, ¥ in Thousands, $ in Thousands
May 13, 2022
USD ($)
item
$ / shares
shares
May 13, 2022
CNY (¥)
Convertible notes payable to a related party    
Debt instrument term 12 months  
Aggregate principal amount $ 10,000 ¥ 67,871
Interest rate 5.00%  
Conversion price $ 9.50  
Number of shares issued upon conversion | shares 1,052,632  
Investor    
Convertible notes payable to a related party    
Number of investors | item 1  
Threshold amount of guarantee obligations considered for determination of an event of default | $ $ 100,000  
Period following the issuance date of convertible notes payable, to consummate initial public offering of Class A ordinary shares 6 months  
Investor | In the event the Company consummates a public offering of Class A ordinary shares that is no more than six (6) months following the issuance date    
Convertible notes payable to a related party    
Conversion price $ 10.00  
Fair value of underlying ordinary share $ 10.00  
Investor | In the event the Company consummates a public offering of Class A ordinary shares that is more than six (6) months following the issuance date    
Convertible notes payable to a related party    
Conversion price as a percentage of Initial Conversion Price 95.00% 95.00%
Investor | If the Company fails to consummate a public offering of Class A ordinary shares on or prior to the maturity date    
Convertible notes payable to a related party    
Written notice period by note holder for redemption of convertible notes payable 10 days  
Minimum | Investor    
Convertible notes payable to a related party    
Written notice period by company for redemption of convertible notes payable 20 days  
Maximum | Investor    
Convertible notes payable to a related party    
Written notice period by company for redemption of convertible notes payable 35 days