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Warrant Liabilities - Additional Information (Detail)
$ / shares in Units, $ in Millions
6 Months Ended 12 Months Ended
Nov. 30, 2021
USD ($)
$ / shares
Jun. 30, 2022
USD ($)
$ / shares
shares
Dec. 31, 2021
USD ($)
Jun. 07, 2021
$ / shares
Subsidiary or Equity Method Investee [Line Items]        
Share Price   $ 0.005   $ 8.67
Fair value of the warrants at the issuance date | $ $ 0.1      
Amended Senior Secured Loan Facility [Member] | Victory Park Management, LLC [Member]        
Subsidiary or Equity Method Investee [Line Items]        
Proceeds from lines of credit | $ $ 10.0 $ 20.0 $ 20.0  
Percentage right to acquire a number of common shares on fully diluted equity 0.20%      
Proceeds from issuance of equity | $ $ 40.0      
Percentage of fair market value of each share of common stock 80.00%      
Fair market value of each share of common stock per share $ 3.75205      
Private Placement Warrants [Member]        
Subsidiary or Equity Method Investee [Line Items]        
Class of Warrants outstanding | shares   5,100,214    
Exercise price   $ 11.5    
Public Warrants [Member]        
Subsidiary or Equity Method Investee [Line Items]        
Class of Warrants outstanding | shares   6,344,021    
Warrant Liability Related To Debt Facility [Member]        
Subsidiary or Equity Method Investee [Line Items]        
Class of warrants or rights excercised during the period units | shares   1,664,394    
Stock issued during the period exercise of warrants | shares   450,841    
After The Completion Of A Business Combination Or Earlier Upon Redemption Or Liquidation [Member]        
Subsidiary or Equity Method Investee [Line Items]        
Class of warrants or rights term   5 years    
Exercise price   $ 11.5    
Minimum [Member]        
Subsidiary or Equity Method Investee [Line Items]        
Share Price   3.273    
Triggering Share Price One [Member] | Minimum [Member]        
Subsidiary or Equity Method Investee [Line Items]        
Share Price   $ 18    
Number of days of notice to be given for the redemption of warrants   30 days    
Number of consecutive trading days for determining the share price   20 days    
Number of trading days for determining the share price   30 days    
Number of days prior to the date of notifying the warrant holders for determining the total trading period   3 days    
Triggering Share Price One [Member] | Minimum [Member] | Warrant Redemption Price One [Member]        
Subsidiary or Equity Method Investee [Line Items]        
Class of warrants or rights redemption price   $ 0.01    
Triggering Share Price Two [Member] | Minimum [Member]        
Subsidiary or Equity Method Investee [Line Items]        
Share Price   $ 10    
Number of days of notice to be given for the redemption of warrants   30 days    
Number of consecutive trading days for determining the share price   20 days    
Number of trading days for determining the share price   30 days    
Number of days prior to the date of notifying the warrant holders for determining the total trading period   3 days    
Triggering Share Price Two [Member] | Minimum [Member] | Warrant Redemption Price Two [Member]        
Subsidiary or Equity Method Investee [Line Items]        
Class of warrants or rights redemption price   $ 0.1    
Class A And Class V Common Stock [Member]        
Subsidiary or Equity Method Investee [Line Items]        
Common stock previously outstanding convered into new common stock exchange ratio   1.354387513 1.354387513