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Recurring Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2023
Derivative Instrument Detail [Abstract]  
Schedule of fair value hierarchy for liabilities measured at fair value on recurring basis
The following tables presents fair value information as of June 30, 2023 and December 31, 2022 of the Company’s financial assets and liabilities that were accounted for at fair value on a recurring basis and indicates the fair value hierarchy of the valuation techniques the Company utilized to determine such fair value.
 
June 30, 2023
  
Level 1
 
  
Level 2
 
  
Level 3
 
  
Total
 
Assets:
  
  
  
  
Marketable securities held in Trust Account
   $ 31,631,853      $ —        $ —        $ 31,631,853  
Liabilities:
                                   
Public Warrants
     1,015,680        —          —          1,015,680  
Private Warrants
     —          1,033,344        —          1,033,344  
    
 
 
    
 
 
    
 
 
    
 
 
 
Total liabilities
  
$
966,000
 
  
$
982,800
 
  
$
—  
    
$
1,948,800
 
    
 
 
    
 
 
    
 
 
    
 
 
 
         
December 31, 2022
  
Level 1
    
Level 2
    
Level 3
    
Total
 
Assets:
                                   
Marketable securities held in Trust Account
   $ 285,506,568      $ —        $ —        $ 285,506,568  
Liabilities:
                                   
Public Warrants
     394,680        —          —          394,680  
Private Warrants
     —          401,544        —          401,544  
    
 
 
    
 
 
    
 
 
    
 
 
 
Total liabilities
  
$
394,680
 
  
$
401,544
 
  
$
—  
    
$
796,224