TRUST ACCOUNT AND FAIR VALUE MEASUREMENT (Details) - USD ($) |
1 Months Ended | 11 Months Ended | |
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Feb. 28, 2021 |
Dec. 31, 2020 |
Jun. 30, 2021 |
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Private Placement Warrants [Member] | |||
Trust Account and Fair Value Measurement [Line Items] | |||
Total deposit amount | $ 172,500,000 | $ 172,500,000 | |
US Treasury Securities [Member] | |||
Trust Account and Fair Value Measurement [Line Items] | |||
U.S. treasury bills maturity period, description | The proceeds in the Trust Account must be invested in either U.S. government treasury bills with a maturity of 180 days or less or in money market funds meeting certain conditions under Rule 2a-7 under the Investment Company Act of 1940, as amended, and that invest solely in U.S. government treasury obligations. | ||
U.S. government treasury securities maturity period | May 2021 | ||
U.S. government treasury bills [Member] | |||
Trust Account and Fair Value Measurement [Line Items] | |||
Description for proceeds invested primarily | At December 31, 2020 the proceeds of the Trust Account were invested primarily in U.S. government treasury bills maturing in February 2021 yielding interest of approximately 0.1% per year. |
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- Definition NA No definition available.
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- Definition Treasury bills maturity period, description. No definition available.
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- Definition Trust Account and Fair Value Measurement Line Items. No definition available.
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- Definition U.S. government treasury securities maturity period. No definition available.
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- Definition The aggregate of all deposit liabilities held by the entity, including foreign and domestic, interest and noninterest bearing; may include demand deposits, saving deposits, Negotiable Order of Withdrawal (NOW) and time deposits among others. Reference 1: http://fasb.org/us-gaap/role/ref/legacyRef
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