Post-effective amendment to a registration statement that is not immediately effective upon filing

Derivative Liabilities - Additional Information (Detail)

v3.22.0.1
Derivative Liabilities - Additional Information (Detail) - USD ($)
$ / shares in Units, $ in Thousands
12 Months Ended
Nov. 03, 2021
Dec. 31, 2021
Jul. 14, 2021
Derivative Liabilities [Line Items]      
Number of warrants or rights outstanding   21,118,420  
Estimated fair value of warrant liabilities $ 53,219 $ 65,678  
Change in fair value of derivative liabilities   12,459  
Estimated fair value of earnout shares liability $ 44,723 52,380  
Earnout Shares [Member]      
Derivative Liabilities [Line Items]      
Change in fair value of derivative liabilities   $ 7,657  
Number of shares vested   0  
Public Warrants [Member]      
Derivative Liabilities [Line Items]      
Number of warrants or rights outstanding   12,218,420  
Number of warrants exercised   330  
Proceeds from warrant exercises   $ 4  
Notice period to be given to warrant holders before redemption   30 days  
Number of trading days after the date of notice for determining the fair market value of shares   10 days  
Class of warrant or rights number of shares covered by each warrant or right   0.361  
Public Warrants [Member] | Prospective Warrant Redemption [Member] | Redemption Trigger Price Exceeds $18.00 [Member]      
Derivative Liabilities [Line Items]      
Newly issued share price   $ 18.00  
Notice period to be given to warrant holders before redemption   30 days  
Class of warrants or rights redemption price per unit of warrant   $ 0.01  
Public Warrants [Member] | Prospective Warrant Redemption [Member] | Redemption Trigger Price Exceeds $10.00 [Member]      
Derivative Liabilities [Line Items]      
Newly issued share price   $ 10.00  
Notice period to be given to warrant holders before redemption   30 days  
Class of warrants or rights redemption price per unit of warrant   $ 0.10  
Private Placement Warrants [Member]      
Derivative Liabilities [Line Items]      
Number of warrants or rights outstanding   8,900,000  
Private Placement Warrants [Member] | Prospective Warrant Redemption [Member] | Redemption Trigger Price One [Member]      
Derivative Liabilities [Line Items]      
Newly issued share price   $ 18.00  
Private Placement Warrants [Member] | Prospective Warrant Redemption [Member] | Redemption Trigger Price Two [Member]      
Derivative Liabilities [Line Items]      
Newly issued share price   $ 10.00  
Sponsor [Member] | Conversion of Warrants [Member] | Private Placement Warrants [Member]      
Derivative Liabilities [Line Items]      
Number of warrants or rights outstanding 8,900,000    
Class of warrants or rights exercise price $ 11.50    
Common Class A [Member] | Earnout Shares [Member] | Share Price Equal Or Exceeds $15.00 Per Share [Member] | At least 2 Years Since the Closing [Member]      
Derivative Liabilities [Line Items]      
Number of trading days for share price determination 20 days    
Total number of trading days in determining the share price 30 days    
Number of shares vest subject to lock up provision 1,720,772    
Share price $ 15.00    
Common Class A [Member] | Earnout Shares [Member] | Share Price Equal Or Exceeds $17.50 Per Share [Member] | At least 3 Years Since the Closing [Member]      
Derivative Liabilities [Line Items]      
Number of trading days for share price determination 20 days    
Total number of trading days in determining the share price 30 days    
Number of shares vest subject to lock up provision 1,720,771    
Share price $ 17.50    
Common Class A [Member] | Earnout Shares [Member] | Share Price Equal Or Exceeds $20.00 Per Share [Member] | At least 4 Years Since the Closing [Member]      
Derivative Liabilities [Line Items]      
Number of trading days for share price determination 20 days    
Total number of trading days in determining the share price 30 days    
Number of shares vest subject to lock up provision 1,720,771    
Share price $ 20.00    
Common Class A [Member] | Public Warrants [Member] | Prospective Warrant Redemption [Member] | Redemption Trigger Price One [Member]      
Derivative Liabilities [Line Items]      
Number of trading days for share price determination   20 days  
Total number of trading days in determining the share price   30 days  
Common Class A [Member] | Public Warrants [Member] | Minimum [Member] | Prospective Warrant Redemption [Member]      
Derivative Liabilities [Line Items]      
Newly issued share price   $ 10.00  
Common Class A [Member] | Public Warrants [Member] | Maximum [Member] | Prospective Warrant Redemption [Member]      
Derivative Liabilities [Line Items]      
Newly issued share price   $ 18.00  
Common Class A [Member] | Conversion of Warrants [Member] | Public Warrants [Member]      
Derivative Liabilities [Line Items]      
Number of warrants or rights outstanding 12,218,750    
Class of warrants or rights exercise price $ 11.50    
Sponsor Shares [Member] | Merger Agreement [Member]      
Derivative Liabilities [Line Items]      
Common stock subject to lock up provision     1,720,772
Common stock subject to time based as well as price based vesting conditions     5,162,314