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REVISION OF PREVIOUSLY ISSUED FINANCIAL STATEMENTS (Tables)
6 Months Ended
Jun. 30, 2021
Revision Of Previously Issued Financial Statements  
REVISION OF PREVIOUSLY ISSUED FINANCIAL STATEMENTS
                         
    As
Previously
Reported
    Adjustments     As
Revised
 
Balance sheet as of February 11, 2021                        
Warrant Liabilities   $ 6,420,000     $ (6,040,000 )   $ 380,000  
Total Liabilities     7,808,428       (6,040,000 )     1,768,428  
Ordinary Shares Subject to Possible Redemption     34,281,198       6,040,004       40,321,202  
Ordinary Shares     2,656       (598 )     2,058  
Additional Paid-in Capital     5,108,455       596       5,109,051  
Total shareholders’ equity     5,000,008       (2 )     5,000,006  
Balance sheet as of March 31, 2021                        
Warrant Liabilities   $ 6,450,000     $ (6,060,000 )   $ 390,000  
Total Liabilities     7,617,136       (6,060,000 )     1,557,136  
Ordinary Shares Subject to Possible Redemption     34,155,320       6,059,999       40,215,319  
Ordinary Shares     2,668       (600 )     2,068  
Additional Paid-in Capital     5,234,320       (19,399 )     5,214,921  
Accumulated deficit     (236,985 )     20,000       (216,985 )
Total shareholders’ equity     5,000,003       1       5,000,004  
Statements of Operations for the three months ended March 31, 2021                        
Change in fair value of warrant liabilities   $ (30,000 )   $ 20,000     $ (10,000 )
Net income (loss)     (108,323 )     20,000       (88,323 )