Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Statement of Changes In Shareholders' Equity

v3.21.2
Condensed Consolidated Statement of Changes In Shareholders' Equity - USD ($)
Total
Private Placement [Member]
Additional Paid-in Capital [Member]
Additional Paid-in Capital [Member]
Private Placement [Member]
Retained Earnings (Accumulated Deficit) [Member]
Common Class B [Member]
Class A Common Stock subject to possible redemption [Member]
Class A Common Stock subject to possible redemption [Member]
Private Placement [Member]
Beginning balance at Dec. 31, 2020 $ 22,714   $ 24,209   $ (2,286) $ 791 $ 0  
Beginning balance, Shares at Dec. 31, 2020           7,906,250 0  
Accretion for Class A ordinary shares to redemption amount (17,451,465)   (8,068,251)   (9,383,214)      
Sale of 832,500 Private Placement Units,Net   $ 8,044,125   $ 8,044,042       $ 83
Sale of 832,500 Private Placement Units,Net, Shares               832,500
Net income (loss) 4,818,956       4,818,956      
Ending balance at Mar. 31, 2021 (4,565,670)   0   (4,566,544) $ 791 $ 83  
Ending balance, Shares at Mar. 31, 2021           7,906,250 832,500  
Beginning balance at Dec. 31, 2020 22,714   24,209   (2,286) $ 791 $ 0  
Beginning balance, Shares at Dec. 31, 2020           7,906,250 0  
Net income (loss) (854,214)         $ (188,517)    
Ending balance at Sep. 30, 2021 (10,238,840)   0   (10,239,714) $ 791 $ 83  
Ending balance, Shares at Sep. 30, 2021           7,906,250 832,500  
Beginning balance at Mar. 31, 2021 (4,565,670)   0   (4,566,544) $ 791 $ 83  
Beginning balance, Shares at Mar. 31, 2021           7,906,250 832,500  
Net income (loss) (10,523,877)       (10,523,877)      
Ending balance at Jun. 30, 2021 (15,089,547)   0   (15,090,421) $ 791 $ 83  
Ending balance, Shares at Jun. 30, 2021           7,906,250 832,500  
Net income (loss) 4,850,707       4,850,707 $ 950,132    
Ending balance at Sep. 30, 2021 $ (10,238,840)   $ 0   $ (10,239,714) $ 791 $ 83  
Ending balance, Shares at Sep. 30, 2021           7,906,250 832,500