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Fair Value Measurements on a Recurring Basis (Details) - Schedule of changes in fair value of warrant liability - CF ACQUISITION CORP. VI [Member] - USD ($)
1 Months Ended 3 Months Ended 10 Months Ended 12 Months Ended
Mar. 31, 2021
Jun. 30, 2022
Mar. 31, 2022
Jun. 30, 2021
Dec. 31, 2021
Dec. 31, 2021
Private Placement [Member]            
Fair Value Measurements on a Recurring Basis (Details) - Schedule of changes in fair value of warrant liability [Line Items]            
Fair value as of beginning balance $ 217,437 $ 601,125 $ 454,982 [1] $ 221,970 $ 217,437
Change in valuation inputs or other assumptions 4,533 [2] (357,875) [2] 146,143 (55,720) [2]   237,545 [2]
Fair value as of ending balance 221,970 243,250 601,125 166,250 [3] 454,982 [1] 454,982 [1]
Public [Member]            
Fair Value Measurements on a Recurring Basis (Details) - Schedule of changes in fair value of warrant liability [Line Items]            
Fair value as of beginning balance 9,318,750 25,762,500 19,499,250 [1] 9,513,000 9,318,750
Change in valuation inputs or other assumptions 194,250 [2] (15,337,500) [2] 6,263,250 (2,388,000) [2]   10,180,500 [2]
Fair value as of ending balance 9,513,000 10,425,000 25,762,500 7,125,000 [3] 19,499,250 [1] 19,499,250 [1]
Warrant Liability [Member]            
Fair Value Measurements on a Recurring Basis (Details) - Schedule of changes in fair value of warrant liability [Line Items]            
Fair value as of beginning balance 9,536,187 26,363,625 19,954,232 [1] 9,734,970 9,536,187
Change in valuation inputs or other assumptions 198,783 [2] (15,695,375) [2] 6,409,393 (2,443,720) [2]   10,418,045 [2]
Fair value as of ending balance 9,734,970 10,668,250 26,363,625 7,291,250 [3] 19,954,232 [1] 19,954,232 [1]
FPS Liability [Member]            
Fair Value Measurements on a Recurring Basis (Details) - Schedule of changes in fair value of warrant liability [Line Items]            
Fair value as of beginning balance 3,859,558 7,491,200 4,452,968 2,789,394 3,859,558  
Change in valuation inputs or other assumptions [4] (1,070,164) (3,336,623) 3,038,232 234,372 593,410  
Fair value as of ending balance $ 2,789,394 $ 4,154,577 $ 7,491,200 $ 3,023,766 $ 4,452,968 $ 4,452,968
[1] Due to the use of quoted prices in an active market (Level 1) and the use of observable inputs for similar assets or liabilities (Level 2) for Public Warrants and Private Placement Warrants, respectively, subsequent to initial measurement, the Company had transfers out of Level 3 totaling $7.3 million during the year ended December 31, 2021
[2] Changes in valuation inputs or other assumptions are recognized in Change in fair value of warrant liability in the consolidated statement of operations.
[3] Due to the use of quoted prices in an active market (Level 1) and the use of observable inputs for similar assets or liabilities (Level 2) for Public Warrants and Private Placement Warrants, respectively, subsequent to initial measurement, the Company had transfers out of Level 3 totaling $7.3 million during the three and six months ended June 30, 2021.
[4] Changes in valuation inputs or other assumptions are recognized in Change in fair value of FPS liability in the consolidated statement of operations.