10-Q Filing
Filing Information
| Form Type | 10-Q |
| Accession Number | 0001193125-23-212311 |
| Period End Date | 20230630 |
| Filing Date | 20230814 |
| Fiscal Year | 2023 |
| Fiscal Period | Q2 |
| XBRL Instance | d519723d10q_htm.xml |
Filing Contents
This filing contains the following financial statements:
Balance Sheet
55 line items
| Line Item | Tag | Value | Unit | Period |
|---|---|---|---|---|
| Temporary equity shares outstanding |
TemporaryEquitySharesOutstanding
|
8.43M | shares | Point-in-time |
| Temporary equity shares outstanding |
TemporaryEquitySharesOutstanding
|
28.75M | shares | Point-in-time |
| Preferred stock par or stated value per share |
PreferredStockParOrStatedValuePerShare
|
$0.00 | USD | Point-in-time |
| Preferred stock par or stated value per share |
PreferredStockParOrStatedValuePerShare
|
$0.00 | USD | Point-in-time |
| Preferred stock shares authorized |
PreferredStockSharesAuthorized
|
1.00M | shares | Point-in-time |
| Cash |
Cash
|
$93.61K | USD | Point-in-time |
| Cash |
Cash
|
$100.26K | USD | Point-in-time |
| Preferred stock shares authorized |
PreferredStockSharesAuthorized
|
1.00M | shares | Point-in-time |
| Prepaid expenses |
PrepaidExpenseCurrent
|
$88.21K | USD | Point-in-time |
| Preferred stock shares issued |
PreferredStockSharesIssued
|
0.00 | shares | Point-in-time |
| Prepaid expenses |
PrepaidExpenseCurrent
|
$142.06K | USD | Point-in-time |
| Preferred stock shares issued |
PreferredStockSharesIssued
|
0.00 | shares | Point-in-time |
| Total current assets |
AssetsCurrent
|
$235.66K | USD | Point-in-time |
| Preferred stock shares outstanding |
PreferredStockSharesOutstanding
|
0.00 | shares | Point-in-time |
| Total current assets |
AssetsCurrent
|
$188.47K | USD | Point-in-time |
| Preferred stock shares outstanding |
PreferredStockSharesOutstanding
|
0.00 | shares | Point-in-time |
| Investment held in Trust Account |
AssetsHeldInTrustNoncurrent
|
$87.29M | USD | Point-in-time |
| Investment held in Trust Account |
AssetsHeldInTrustNoncurrent
|
$290.72M | USD | Point-in-time |
| Total assets |
Assets
|
$290.91M | USD | Point-in-time |
| Total assets |
Assets
|
$87.52M | USD | Point-in-time |
| Temporary Equity Redemption Price Per Share |
TemporaryEquityRedemptionPricePerShare
|
$10.15 | USD | Point-in-time |
| Accounts payable and accrued expenses |
AccruedLiabilitiesCurrent
|
$5.61M | USD | Point-in-time |
| Accounts payable and accrued expenses |
AccruedLiabilitiesCurrent
|
$4.63M | USD | Point-in-time |
| Excise tax payable |
SalesAndExciseTaxPayableCurrent
|
- | USD | Point-in-time |
| Excise tax payable |
SalesAndExciseTaxPayableCurrent
|
$2.07M | USD | Point-in-time |
| Income taxes payable |
AccruedIncomeTaxesCurrent
|
$638.56K | USD | Point-in-time |
| Income taxes payable |
AccruedIncomeTaxesCurrent
|
$330.15K | USD | Point-in-time |
| Promissory notes to related parties |
NotesPayableCurrent
|
$633.63K | USD | Point-in-time |
| Promissory notes to related parties |
NotesPayableCurrent
|
$370.00K | USD | Point-in-time |
| Convertible promissory notes related parties, at fair value |
ConvertibleDebtCurrent
|
$1.56M | USD | Point-in-time |
| Convertible promissory notes related parties, at fair value |
ConvertibleDebtCurrent
|
$1.41M | USD | Point-in-time |
| Total current liabilities |
LiabilitiesCurrent
|
$6.74M | USD | Point-in-time |
| Total current liabilities |
LiabilitiesCurrent
|
$10.50M | USD | Point-in-time |
| Warrant liabilities |
WarrantLiability
|
$12.15M | USD | Point-in-time |
| Warrant liabilities |
WarrantLiability
|
$5.88M | USD | Point-in-time |
| Total liabilities |
Liabilities
|
$16.39M | USD | Point-in-time |
| Total liabilities |
Liabilities
|
$18.89M | USD | Point-in-time |
| Commitments and Contingencies |
CommitmentsAndContingencies
|
- | USD | Point-in-time |
| Commitments and Contingencies |
CommitmentsAndContingencies
|
- | USD | Point-in-time |
| Class A common stock subject to possible redemption; 8,432,745 and 28,750,000 shares at redemption value at June 30, 2023 and December 31, 2022, respectively ($10.27 and $10.10 at June 30, 2023 and December 31, 2022) |
TemporaryEquityCarryingAmountAttributableToParent
|
$86.63M | USD | Point-in-time |
| Class A common stock subject to possible redemption; 8,432,745 and 28,750,000 shares at redemption value at June 30, 2023 and December 31, 2022, respectively ($10.27 and $10.10 at June 30, 2023 and December 31, 2022) |
TemporaryEquityCarryingAmountAttributableToParent
|
$290.35M | USD | Point-in-time |
| Preferred stock, $0.0001 par value; 1,000,000 shares authorized; none issued and outstanding |
PreferredStockValue
|
- | USD | Point-in-time |
| Preferred stock, $0.0001 par value; 1,000,000 shares authorized; none issued and outstanding |
PreferredStockValue
|
- | USD | Point-in-time |
| Additional paid-in capital |
AdditionalPaidInCapital
|
- | USD | Point-in-time |
| Additional paid-in capital |
AdditionalPaidInCapital
|
- | USD | Point-in-time |
| Accumulated deficit |
RetainedEarningsAccumulatedDeficit
|
$-15.49M | USD | Point-in-time |
| Accumulated deficit |
RetainedEarningsAccumulatedDeficit
|
$-18.33M | USD | Point-in-time |
| Total Stockholders' Deficit |
StockholdersEquity
|
$-15.49M | USD | Point-in-time |
| Total Stockholders' Deficit |
StockholdersEquity
|
$-12.94M | USD | Point-in-time |
| Total Stockholders' Deficit |
StockholdersEquity
|
$-20.09M | USD | Point-in-time |
| Total Stockholders' Deficit |
StockholdersEquity
|
$-18.33M | USD | Point-in-time |
| Total Stockholders' Deficit |
StockholdersEquity
|
$-3.72M | USD | Point-in-time |
| Total Stockholders' Deficit |
StockholdersEquity
|
$-6.47M | USD | Point-in-time |
| Total Liabilities, Common Stock Subject to Possible Redemption and Stockholders' Deficit |
LiabilitiesAndStockholdersEquity
|
$87.52M | USD | Point-in-time |
| Total Liabilities, Common Stock Subject to Possible Redemption and Stockholders' Deficit |
LiabilitiesAndStockholdersEquity
|
$290.91M | USD | Point-in-time |
Income Statement
38 line items
| Line Item | Tag | Value | Unit | Period |
|---|---|---|---|---|
| Operating costs |
FormationAndOperatingCosts
|
$2.45M | USD | 2 Qtrs |
| Operating costs |
FormationAndOperatingCosts
|
$730.83K | USD | 2 Qtrs |
| Operating costs |
FormationAndOperatingCosts
|
$306.34K | USD | 1 Quarter |
| Operating costs |
FormationAndOperatingCosts
|
$1.35M | USD | 1 Quarter |
| Loss from operations |
OperatingIncomeLoss
|
$-306.34K | USD | 1 Quarter |
| Loss from operations |
OperatingIncomeLoss
|
$-2.45M | USD | 2 Qtrs |
| Loss from operations |
OperatingIncomeLoss
|
$-1.35M | USD | 1 Quarter |
| Loss from operations |
OperatingIncomeLoss
|
$-730.83K | USD | 2 Qtrs |
| Interest income from Trust Account |
InvestmentIncomeInterest
|
$835.91K | USD | 1 Quarter |
| Interest income from Trust Account |
InvestmentIncomeInterest
|
$354.24K | USD | 1 Quarter |
| Interest income from Trust Account |
InvestmentIncomeInterest
|
$3.14M | USD | 2 Qtrs |
| Interest income from Trust Account |
InvestmentIncomeInterest
|
$369.36K | USD | 2 Qtrs |
| Change in fair value of convertible promissory notes related parties |
FairValueAdjustmentOfPromissoryNote
|
$-5.40K | USD | 1 Quarter |
| Change in fair value of convertible promissory notes related parties |
FairValueAdjustmentOfPromissoryNote
|
$22.21K | USD | 2 Qtrs |
| Change in fair value of convertible promissory notes related parties |
FairValueAdjustmentOfPromissoryNote
|
$-795.29K | USD | 2 Qtrs |
| Change in fair value of convertible promissory notes related parties |
FairValueAdjustmentOfPromissoryNote
|
$-798.41K | USD | 1 Quarter |
| Change in fair value of warrant liabilities |
FairValueAdjustmentOfWarrants
|
$-6.27M | USD | 2 Qtrs |
| Change in fair value of warrant liabilities |
FairValueAdjustmentOfWarrants
|
$-9.63M | USD | 2 Qtrs |
| Change in fair value of warrant liabilities |
FairValueAdjustmentOfWarrants
|
$-4.92M | USD | 1 Quarter |
| Change in fair value of warrant liabilities |
FairValueAdjustmentOfWarrants
|
$-2.77M | USD | 1 Quarter |
| Total other income, net |
NonoperatingIncomeExpense
|
$6.55M | USD | 1 Quarter |
| Total other income, net |
NonoperatingIncomeExpense
|
$9.98M | USD | 2 Qtrs |
| Total other income, net |
NonoperatingIncomeExpense
|
$3.13M | USD | 1 Quarter |
| Total other income, net |
NonoperatingIncomeExpense
|
$10.20M | USD | 2 Qtrs |
| Income before income taxes |
IncomeLossFromContinuingOperationsBeforeIncomeTaxesExtraordinaryItemsNoncontrollingInterest
|
$5.20M | USD | 1 Quarter |
| Income before income taxes |
IncomeLossFromContinuingOperationsBeforeIncomeTaxesExtraordinaryItemsNoncontrollingInterest
|
$2.82M | USD | 1 Quarter |
| Income before income taxes |
IncomeLossFromContinuingOperationsBeforeIncomeTaxesExtraordinaryItemsNoncontrollingInterest
|
$9.25M | USD | 2 Qtrs |
| Income before income taxes |
IncomeLossFromContinuingOperationsBeforeIncomeTaxesExtraordinaryItemsNoncontrollingInterest
|
$7.71M | USD | 2 Qtrs |
| Income tax expense |
IncomeTaxExpenseBenefit
|
- | USD | 1 Quarter |
| Income tax expense |
IncomeTaxExpenseBenefit
|
- | USD | 2 Qtrs |
| Income tax expense |
IncomeTaxExpenseBenefit
|
$638.56K | USD | 2 Qtrs |
| Income tax expense |
IncomeTaxExpenseBenefit
|
$165.04K | USD | 1 Quarter |
| Net income |
NetIncomeLoss
|
$9.25M | USD | 2 Qtrs |
| Net income |
NetIncomeLoss
|
$2.04M | USD | 1 Quarter |
| Net income |
NetIncomeLoss
|
$7.08M | USD | 2 Qtrs |
| Net income |
NetIncomeLoss
|
$5.04M | USD | 1 Quarter |
| Net income |
NetIncomeLoss
|
$6.42M | USD | 1 Quarter |
| Net income |
NetIncomeLoss
|
$2.82M | USD | 1 Quarter |
Cash Flow Statement
62 line items
| Line Item | Tag | Value | Unit | Period |
|---|---|---|---|---|
| Net income |
NetIncomeLoss
|
$9.25M | USD | 2 Qtrs |
| Net income |
NetIncomeLoss
|
$2.04M | USD | 1 Quarter |
| Net income |
NetIncomeLoss
|
$7.08M | USD | 2 Qtrs |
| Net income |
NetIncomeLoss
|
$5.04M | USD | 1 Quarter |
| Net income |
NetIncomeLoss
|
$6.42M | USD | 1 Quarter |
| Net income |
NetIncomeLoss
|
$2.82M | USD | 1 Quarter |
| Interest income from Trust Account |
InterestEarnedOnMarketableSecuritiesHeldInTrustAccount
|
$-369.36K | USD | 2 Qtrs |
| Interest income from Trust Account |
InterestEarnedOnMarketableSecuritiesHeldInTrustAccount
|
$-3.14M | USD | 2 Qtrs |
| Change in fair value of convertible promissory notes related parties |
FairValueAdjustmentOfPromissoryNote
|
$-5.40K | USD | 1 Quarter |
| Change in fair value of convertible promissory notes related parties |
FairValueAdjustmentOfPromissoryNote
|
$22.21K | USD | 2 Qtrs |
| Change in fair value of convertible promissory notes related parties |
FairValueAdjustmentOfPromissoryNote
|
$-795.29K | USD | 2 Qtrs |
| Change in fair value of convertible promissory notes related parties |
FairValueAdjustmentOfPromissoryNote
|
$-798.41K | USD | 1 Quarter |
| Change in fair value of warrant liabilities |
FairValueAdjustmentOfWarrants
|
$-6.27M | USD | 2 Qtrs |
| Change in fair value of warrant liabilities |
FairValueAdjustmentOfWarrants
|
$-9.63M | USD | 2 Qtrs |
| Change in fair value of warrant liabilities |
FairValueAdjustmentOfWarrants
|
$-4.92M | USD | 1 Quarter |
| Change in fair value of warrant liabilities |
FairValueAdjustmentOfWarrants
|
$-2.77M | USD | 1 Quarter |
| Prepaid expenses |
IncreaseDecreaseInPrepaidExpense
|
$53.85K | USD | 2 Qtrs |
| Prepaid expenses |
IncreaseDecreaseInPrepaidExpense
|
$-212.24K | USD | 2 Qtrs |
| Accounts payable and accrued expenses |
IncreaseDecreaseInAccountsPayableAndAccruedLiabilities
|
$-109.60K | USD | 2 Qtrs |
| Accounts payable and accrued expenses |
IncreaseDecreaseInAccountsPayableAndAccruedLiabilities
|
$980.60K | USD | 2 Qtrs |
| Income taxes payable |
IncreaseDecreaseInAccruedIncomeTaxesPayable
|
$308.41K | USD | 2 Qtrs |
| Income taxes payable |
IncreaseDecreaseInAccruedIncomeTaxesPayable
|
- | USD | 2 Qtrs |
| Net cash used in operating activities |
NetCashProvidedByUsedInOperatingActivities
|
$-1.89M | USD | 2 Qtrs |
| Net cash used in operating activities |
NetCashProvidedByUsedInOperatingActivities
|
$-628.19K | USD | 2 Qtrs |
| Cash withdrawn from Trust Account in connection with redemption |
ProceedsFromSaleOfRestrictedInvestments
|
$206.12M | USD | 2 Qtrs |
| Cash withdrawn from Trust Account in connection with redemption |
ProceedsFromSaleOfRestrictedInvestments
|
$206.12M | USD | Point-in-time |
| Cash withdrawn from Trust Account in connection with redemption |
ProceedsFromSaleOfRestrictedInvestments
|
- | USD | 2 Qtrs |
| Cash Withdrawn From Trust Accounts To Pay Taxes |
CashWithdrawnFromTrustAccountsToPayTaxes
|
$182.47K | USD | 2 Qtrs |
| Cash Withdrawn From Trust Accounts To Pay Taxes |
CashWithdrawnFromTrustAccountsToPayTaxes
|
$450.15K | USD | 2 Qtrs |
| Net cash provided by investing activities |
NetCashProvidedByUsedInInvestingActivities
|
$206.57M | USD | 2 Qtrs |
| Net cash provided by investing activities |
NetCashProvidedByUsedInInvestingActivities
|
$182.47K | USD | 2 Qtrs |
| Payments for redemptions of Class A common stock |
PaymentsForRepurchaseOfCommonStock
|
$206.12M | USD | 2 Qtrs |
| Payments for redemptions of Class A common stock |
PaymentsForRepurchaseOfCommonStock
|
- | USD | 2 Qtrs |
| Proceeds from promissory notes related parties |
ProceedsFromRelatedPartyDebt
|
$633.63K | USD | 2 Qtrs |
| Proceeds from promissory notes related parties |
ProceedsFromRelatedPartyDebt
|
$335.00K | USD | 2 Qtrs |
| Proceeds from convertible promissory notes related parties |
ProceedsFromConvertibleDebt
|
$801.37K | USD | 2 Qtrs |
| Proceeds from convertible promissory notes related parties |
ProceedsFromConvertibleDebt
|
- | USD | 2 Qtrs |
| Net cash (used in) provided by financing activities |
NetCashProvidedByUsedInFinancingActivities
|
$335.00K | USD | 2 Qtrs |
| Net cash (used in) provided by financing activities |
NetCashProvidedByUsedInFinancingActivities
|
$-204.69M | USD | 2 Qtrs |
| Net Change in Cash |
CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalentsPeriodIncreaseDecreaseExcludingExchangeRateEffect
|
$-110.73K | USD | 2 Qtrs |
| Net Change in Cash |
CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalentsPeriodIncreaseDecreaseExcludingExchangeRateEffect
|
$-6.65K | USD | 2 Qtrs |
| Cash, beginning of the period |
CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents
|
$322.77K | USD | Point-in-time |
| Cash, beginning of the period |
CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents
|
$212.04K | USD | Point-in-time |
| Cash, beginning of the period |
CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents
|
$93.61K | USD | Point-in-time |
| Cash, beginning of the period |
CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents
|
$100.26K | USD | Point-in-time |
| Cash, end of the period |
CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents
|
$322.77K | USD | Point-in-time |
| Cash, end of the period |
CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents
|
$212.04K | USD | Point-in-time |
| Cash, end of the period |
CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents
|
$93.61K | USD | Point-in-time |
| Cash, end of the period |
CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents
|
$100.26K | USD | Point-in-time |
| Conversion of Promissory Notes to Convertible Promissory Notes |
DebtConversionConvertedInstrumentAmount1
|
$726.37K | USD | 2 Qtrs |
| Conversion of Promissory Notes to Convertible Promissory Notes |
DebtConversionConvertedInstrumentAmount1
|
- | USD | 2 Qtrs |
| Initial measurement of fair value of Convertible Promissory Notes |
NotesIssued1
|
$228.40K | USD | 2 Qtrs |
| Initial measurement of fair value of Convertible Promissory Notes |
NotesIssued1
|
$52.13K | USD | 2 Qtrs |
| Remeasurement of Class A common stock subject to possible redemption |
TemporaryEquityAccretionToRedemptionValue
|
$84.38K | USD | 2 Qtrs |
| Remeasurement of Class A common stock subject to possible redemption |
TemporaryEquityAccretionToRedemptionValue
|
$1.78M | USD | 1 Quarter |
| Remeasurement of Class A common stock subject to possible redemption |
TemporaryEquityAccretionToRedemptionValue
|
$2.40M | USD | 2 Qtrs |
| Remeasurement of Class A common stock subject to possible redemption |
TemporaryEquityAccretionToRedemptionValue
|
$84.38K | USD | 1 Quarter |
| Remeasurement of Class A common stock subject to possible redemption |
TemporaryEquityAccretionToRedemptionValue
|
$626.42K | USD | 1 Quarter |
| Excise tax payable as a result of redemption of Class A common stock |
ExciseTaxPayableOnClassACommonStockRedemptionsOfNoncashInvestingAndFinancingTransaction
|
- | USD | 2 Qtrs |
| Excise tax payable as a result of redemption of Class A common stock |
ExciseTaxPayableOnClassACommonStockRedemptionsOfNoncashInvestingAndFinancingTransaction
|
$2.07M | USD | 2 Qtrs |
| Payment of cash taxes |
IncomeTaxesPaidNet
|
$330.15K | USD | 2 Qtrs |
| Payment of cash taxes |
IncomeTaxesPaidNet
|
- | USD | 2 Qtrs |
Stockholders Equity
27 line items
| Line Item | Tag | Value | Unit | Period |
|---|---|---|---|---|
| Balance |
StockholdersEquity
|
$-15.49M | USD | Point-in-time |
| Balance |
StockholdersEquity
|
$-12.94M | USD | Point-in-time |
| Balance |
StockholdersEquity
|
$-20.09M | USD | Point-in-time |
| Balance |
StockholdersEquity
|
$-18.33M | USD | Point-in-time |
| Balance |
StockholdersEquity
|
$-3.72M | USD | Point-in-time |
| Balance |
StockholdersEquity
|
$-6.47M | USD | Point-in-time |
| Remeasurement of Class A common stock subject to possible redemption |
TemporaryEquityAccretionToRedemptionValue
|
$84.38K | USD | 2 Qtrs |
| Remeasurement of Class A common stock subject to possible redemption |
TemporaryEquityAccretionToRedemptionValue
|
$1.78M | USD | 1 Quarter |
| Remeasurement of Class A common stock subject to possible redemption |
TemporaryEquityAccretionToRedemptionValue
|
$2.40M | USD | 2 Qtrs |
| Remeasurement of Class A common stock subject to possible redemption |
TemporaryEquityAccretionToRedemptionValue
|
$84.38K | USD | 1 Quarter |
| Remeasurement of Class A common stock subject to possible redemption |
TemporaryEquityAccretionToRedemptionValue
|
$626.42K | USD | 1 Quarter |
| Excise tax on Class A common stock redemptions |
ExciseTaxOnClassACommonStockRedemptions
|
$-2.07M | USD | 1 Quarter |
| Initial fair value adjustment of convertible promissory notes related parties |
InitialFmvAdjustmentOnPromissoryNote
|
$42.20K | USD | 1 Quarter |
| Initial fair value adjustment of convertible promissory notes related parties |
InitialFmvAdjustmentOnPromissoryNote
|
$52.13K | USD | 1 Quarter |
| Initial fair value adjustment of convertible promissory notes related parties |
InitialFmvAdjustmentOnPromissoryNote
|
$186.19K | USD | 1 Quarter |
| Net income |
NetIncomeLoss
|
$9.25M | USD | 2 Qtrs |
| Net income |
NetIncomeLoss
|
$2.04M | USD | 1 Quarter |
| Net income |
NetIncomeLoss
|
$7.08M | USD | 2 Qtrs |
| Net income |
NetIncomeLoss
|
$5.04M | USD | 1 Quarter |
| Net income |
NetIncomeLoss
|
$6.42M | USD | 1 Quarter |
| Net income |
NetIncomeLoss
|
$2.82M | USD | 1 Quarter |
| Balance |
StockholdersEquity
|
$-15.49M | USD | Point-in-time |
| Balance |
StockholdersEquity
|
$-12.94M | USD | Point-in-time |
| Balance |
StockholdersEquity
|
$-20.09M | USD | Point-in-time |
| Balance |
StockholdersEquity
|
$-18.33M | USD | Point-in-time |
| Balance |
StockholdersEquity
|
$-3.72M | USD | Point-in-time |
| Balance |
StockholdersEquity
|
$-6.47M | USD | Point-in-time |
Data is extracted from SEC EDGAR XBRL filings. Values shown are as reported in the filing.