Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Fair Value Measurements - Summary Of Assets And Liabilities At Fair Value On a Recurring Basis (Detail)

v3.22.1
Fair Value Measurements - Summary Of Assets And Liabilities At Fair Value On a Recurring Basis (Detail) - Fair Value, Recurring [Member]
$ in Thousands
Dec. 31, 2021
USD ($)
Assets, Fair Value Disclosure [Abstract]  
Total financial assets $ 49,896
Liabilities:  
Total financial liabilities 1,639
Warrant [Member]  
Liabilities:  
Warrant liability 1,639 [1]
Marketable securities [Member]  
Assets, Fair Value Disclosure [Abstract]  
Marketable securities 49,896
Level 1 [Member]  
Assets, Fair Value Disclosure [Abstract]  
Total financial assets 0
Liabilities:  
Total financial liabilities 0
Level 1 [Member] | Warrant [Member]  
Liabilities:  
Warrant liability 0 [1]
Level 1 [Member] | Marketable securities [Member]  
Assets, Fair Value Disclosure [Abstract]  
Marketable securities 0
Level 2 [Member]  
Assets, Fair Value Disclosure [Abstract]  
Total financial assets 49,896
Liabilities:  
Total financial liabilities 0
Level 2 [Member] | Warrant [Member]  
Liabilities:  
Warrant liability 0 [1]
Level 2 [Member] | Marketable securities [Member]  
Assets, Fair Value Disclosure [Abstract]  
Marketable securities 49,896
Level 3 [Member]  
Assets, Fair Value Disclosure [Abstract]  
Total financial assets 0
Liabilities:  
Total financial liabilities 1,639
Level 3 [Member] | Warrant [Member]  
Liabilities:  
Warrant liability 1,639 [1]
Level 3 [Member] | Marketable securities [Member]  
Assets, Fair Value Disclosure [Abstract]  
Marketable securities $ 0
[1] As part of the Transactions (see Note 1), the Company assumed a derivative warrant liability related to previously issued private placement warrants in connection with Collective Growth’s initial public offering. The Company utilizes a Black-Scholes option pricing model to estimate the fair value of the private placement warrants which is considered a Level 3 fair value measurement. The warrants are measured at each reporting period, with changes in fair value recognized in financing income, net.