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Share-Based Payments - Summary of Fair Value of the Warrants has been Estimated Unsing the Cox-Ross Rubinstein Binomial Option Pricing Model (Detail)
9 Months Ended
Sep. 30, 2021
€ / shares
Schedule Of Share Based Payment Award Fair Value Of Warrants Valuation Assumptions [Line Items]  
Weighted average share price at grant date in € € 10.75
Weighted average expected volatility 90.00%
Weighted average risk-free interest rate (0.53%)
Weighted average expected term (in years) 3 years 2 months 15 days
Dividend yield
Weighted average fair value of warrants in € € 0