Annual report pursuant to Section 13 and 15(d)

Derivative Warrant Liabilities - Additional Information (Detail)

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Derivative Warrant Liabilities - Additional Information (Detail) - USD ($)
12 Months Ended
Dec. 31, 2021
Jun. 30, 2021
Dec. 31, 2021
Mar. 25, 2021
Warrant Liability [Line Items]        
Number of days after consummation of business combination within which the securities shall be registered   15 days    
Number of days after which business combination within which securities registration shall be effective   60 days    
Percentage of consideration payable to shareholders of predecessor company in shares 70.00%   70.00%  
Levels 3 [Member]        
Warrant Liability [Line Items]        
Share price $ 9.59   $ 9.59  
Private Placement Warrants        
Warrant Liability [Line Items]        
Class of warrants or rights outstanding 6,700,000   6,700,000  
Warrants and rights outstanding term 5 years   5 years  
Class of warrants or rights lock in period 30 days      
Financial liabilities at fair value       $ 20,189,067
Private Placement Warrants | Over-Allotment Option        
Warrant Liability [Line Items]        
Financial liabilities at fair value       2,392,661
Private Placement Warrants | Levels 3 [Member]        
Warrant Liability [Line Items]        
Financial liabilities at fair value $ 13,340,010   $ 13,340,010 $ 17,796,406
Changes in fair value of financial liabilities recorded in earnings   $ 6,811,133    
Public Warrants        
Warrant Liability [Line Items]        
Class of warrants or rights outstanding 8,050,000   8,050,000  
Warrants and rights outstanding term 5 years   5 years  
Class of warrants or rights redemption price per unit $ 0.01   $ 0.01  
Minimum notice period to be given to the holders of warrants     30 days  
Public Warrants | Class A ordinary shares        
Warrant Liability [Line Items]        
Share price $ 18.00   $ 18.00  
Number of trading days for determining the share price     20 days  
Number of consecutive trading days for determining the share price     30 days  
Proceeds from equity used for funding business combination as a percentage of the total     60.00%  
Number of consecutive trading days for determining volume weighted average price of shares   20 days    
Public Warrants | Class A ordinary shares | Adjusted Exercise Price Two        
Warrant Liability [Line Items]        
Adjusted exercise price of warrants as a percentage of newly issued price 115.00%   115.00%  
Public Warrants | Class A ordinary shares | Adjusted Exercise Price One        
Warrant Liability [Line Items]        
Adjusted exercise price of warrants as a percentage of newly issued price 180.00%   180.00%  
Public Warrants | Class A ordinary shares | Minimum        
Warrant Liability [Line Items]        
Volume weighted average price of shares   $ 9.20    
From The Completion Of Business Combination | Private Placement Warrants        
Warrant Liability [Line Items]        
Period after which the warrants are exercisable 30 days      
From The Completion Of Business Combination | Public Warrants        
Warrant Liability [Line Items]        
Period after which the warrants are exercisable 30 days      
From The Completion Of Initial Public Offer | Private Placement Warrants        
Warrant Liability [Line Items]        
Period after which the warrants are exercisable 12 years      
From The Completion Of Initial Public Offer | Public Warrants        
Warrant Liability [Line Items]        
Period after which the warrants are exercisable 12 months