QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
(State or other jurisdiction of incorporation or organization) |
(I.R.S. Employer Identification Number) | |
(Address of principal executive offices) |
(Zip Code) |
Title of Each Class: |
Trading Symbol(s) |
Name of Each Exchange on Which Registered: | ||
one-fourth of one redeemable warrant |
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Large accelerated filer | ☐ | Accelerated filer | ☐ | |||
☒ | Smaller reporting company | |||||
Emerging growth company |
Page No. |
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Item 1. |
Financial Statements | 1 | ||||
Condensed Balance Sheet as of September 30, 2021 (Unaudited) | 1 | |||||
2 | ||||||
3 | ||||||
4 | ||||||
Notes to Condensed Financial Statements (Unaudited) | 5 | |||||
Item 2. |
Management’s Discussion and Analysis of Financial Condition and Results of Operations | 16 | ||||
Item 3. |
Quantitative and Qualitative Disclosures About Market Risk | 22 | ||||
Item 4. |
Controls and Procedures | 22 | ||||
Item 1. |
Legal Proceedings | 23 | ||||
Item 1A. |
Risk Factors | 23 | ||||
Item 2. |
Unregistered Sales of Equity Securities and Use of Proceeds from Registered Securities | 23 | ||||
Item 3. |
Defaults Upon Senior Securities | 23 | ||||
Item 4. |
Mine Safety Disclosures | 23 | ||||
Item 5. |
Other Information | 23 | ||||
Item 6. |
Exhibits | 24 |
September 30, 2021 |
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ASSETS |
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Cash |
$ | |||
Prepaid Expense |
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|
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Total Current Assets |
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FPA Asset |
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Cash held in Trust Account |
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Total Asset |
$ |
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LIABILITIES AND SHAREHOLDERS’ DEFICIT |
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Current Liabilities |
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Accounts payable - related party |
$ | |||
Accrued Expenses |
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Total Current Liabilities |
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Warrant Liability |
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Deferred underwriting fee payable |
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Total Liabilities |
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Commitments and Contingencies (Note 7 ) |
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Class A ordinary shares subject to possible redemption, |
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Shareholders’ Deficit |
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Preferred shares - $ |
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Class A ordinary shares - $ |
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Class F ordinary shares, $ (1) (2) |
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Class G ordinary shares, $ par value; (1) (2) |
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Additional paid-in capital |
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Accumulated Deficit |
( |
) | ||
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Total Shareholders’ Deficit |
( |
) | ||
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|
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Total Liabilities and Shareholders’ Deficit |
$ |
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|
(1) | Our initial shareholders initially held re-capitalization of our share capital effective July 5, 2021, the Class B ordinary shares have been canceled and all of the shares presently issued and outstanding are Class F ordinary shares and Class G ordinary shares (Class G ordinary shares are subject to vesting). All share and per-share amounts have been retroactively restated to reflect the share capitalization and return of shares (see Notes 5 and 8) |
(2) | On August 18, 2021, the underwriters partially exercised the over-allotment option resulting in the issuance of an additional Class F ordinary shares and Class G ordinary shares to the Sponsor. |
Three Months Ended September 30, 2021 |
For the period from March 10, 2021 (inception) through September 30, 2021 |
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Formation costs and other operating expenses |
$ | $ | ||||||
|
|
|||||||
Loss from Operations |
( |
) | ( |
) | ||||
Other Income (Expense): |
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Unrealized gain on marketable securities held in Trust Account |
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Transaction costs allocable to warrant liability |
( |
) | ( |
) | ||||
Change in FV of Warrant Liability |
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Change in FV of FPA Asset |
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Other Income, net |
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Net income |
$ | $ | ||||||
Weighted average shares outstanding of Class A redeemable ordinary shares (1) (2) |
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Basic and diluted net income per share, Class A |
$ | $ | ||||||
Weighted average shares outstanding of Class F non-redeemable ordinary shares(1) (2) |
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Basic and diluted net income per share, Class F |
$ | $ |
(1) | Our initial shareholders initially held re-capitalization of our share capital effective July 5, 2021, the Class B ordinary shares have been canceled and all of the shares presently issued and outstanding are Class F ordinary shares and Class G ordinary shares (Class G ordinary shares are subject to vesting). All share and per-share amounts have been retroactively restated to reflect the share capitalization and return of shares (see Notes 5 and 8) |
(2) | On August 18, 2021, the underwriters partially exercised the over-allotment option resulting in the issuance of an additional Class F ordinary shares and Class G ordinary shares to the Sponsor. |
Class A Ordinary Shares |
Class F Ordinary Shares |
Class G Ordinary Shares |
Additional Paid-in Capital |
Accumulated Deficit |
Total Shareholders’ Equity |
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Shares |
Amount |
Shares |
Amount |
Shares |
Amount |
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Balance – March 10, 2021 (inception) |
$ |
$ |
$ |
$ |
$ |
$ |
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Issuance of Class F ordinary shares to sponsors (1) |
— | $ |
— | $ |
— | $ |
— | $ |
$ |
— | $ |
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Issuance of Class G ordinary shares to sponsors (1) |
— | $ |
— | — | $ |
— | $ |
$ |
— | $ |
— | $ |
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Net loss |
— | $ |
— | — | $ |
— | — | $ |
— | $ |
— | $ |
( |
) | $ |
( |
) | |||||||||||||||||||
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Balance – March 31, 2021 |
$ |
$ |
$ |
$ |
$ |
( |
) |
$ |
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Net loss |
— | $ |
— | $ |
— | $ |
$ |
$ |
$ |
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Balance – June 30, 2021 |
$ |
$ |
$ |
$ |
$ |
( |
) |
$ |
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Partial exercise of the underwriters’ over-allotment option(2) |
$ |
— | $ |
$ |
$ |
— | $ |
— | $ |
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Class A ordinary shares accretion to redemption value (Restated – see Note 2) |
— | $ |
— | — | $ |
— | — | $ |
— | $ |
( |
) | $ |
( |
) | $ |
( |
) | ||||||||||||||||||
Net income |
— | $ |
— | — | $ |
— | $ |
— | $ |
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Balance – September 30, 2021 |
$ |
$ |
$ |
$ |
$ |
( |
) |
$ |
( |
) | ||||||||||||||||||||||||||
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(1) | Our initial shareholders initially held re-capitalization of our share capital effective July 5, 2021, the Class B ordinary shares have been canceled and all of the shares presently issued and outstanding are Class F ordinary shares and Class G ordinary shares (Class G ordinary shares are subject to vesting). All share and per-share amounts have been retroactively restated to reflect the share capitalization and return of shares (see Notes 5 and 8) |
(2) | On August 18, 2021, the underwriters partially exercised the over-allotment option resulting in the issuance of an Class F ordinary shares and Class G ordinary shares to the Sponsor . |
Cash Flows from Operating Activities: |
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Net income |
$ |
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Adjustments to reconcile net loss to net cash used in operating activities |
||||
Unrealized gains earned on marketable securities held in Trust Account |
( |
) | ||
Change in fair value of Warrant Liability |
( |
) | ||
Change in fair value of FPA Asset |
( |
) | ||
Transaction Costs allocated to Warrant Liability |
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Changes in operating assets and liabilities: |
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Prepaid expenses |
( |
) | ||
Accrued expenses |
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|
|
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Net cash (used in) provided by operating activities |
( |
) | ||
|
|
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Cash Flows from Investing Activities: |
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Investment of cash into Trust Account |
( |
) | ||
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|
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Net cash (used in) provided by Investing activities |
( |
) | ||
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|
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Cash Flows from Financing Activities: |
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Proceeds from sale of Class A ordinary shares; net of underwriting discounts paid |
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Proceeds from sale of Private Placement Shares |
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Proceeds from sale of Private Placement Warrants |
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Proceeds from promissory note |
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Repayment of promissory note – related party |
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Payment of offering costs |
( |
) | ||
|
|
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Net cash (used in) provided by Financing Activities |
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Net change in Cash |
$ |
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Cash – Beginning of period |
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Cash – End of period |
$ |
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Non-Cash investing and financing activities |
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Offering costs included in accrued offering costs |
$ |
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Payment of accrued expense through promissory note |
$ |
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Payment of prepaid expenses through promissory note |
$ |
( |
) | |
Initial classification of Class A ordinary shares subject to possible redemption |
$ |
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Deferred underwriting fee payable |
$ |
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Initial measurement of warrants issued in connection with the initial public offering accounted for as liabilities |
$ |
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Initial measurement of FPA units issued in connection with the initial public offering accounted for as liabilities |
$ |
8/6/2021 |
As Previously Reported |
Adjustment |
As Restated |
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Class A Ordinary Shares subject to possible redemption |
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Class A ordinary shares |
( |
) |
— |
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Additional Paid in Capital |
( |
) |
— |
|||||||||
Accumulated Deficit |
( |
) |
( |
) |
( |
) | ||||||
Total Shareholders’ equity (deficit) |
( |
) |
( |
) |
• | in whole and not in part; |
• | at a price of $ |
• | upon not less than |
• | if, and only if, the reported last sale price of the Class A ordinary shares equals or exceeds $18.00 per share (as adjusted for adjustments to the number of shares issuable upon exercise or the exercise price of a warrant as described) for any |
• | in whole and not in part; |
• | at $ |
• | if, and only if, the Reference Value (as defined above under “Redemption of warrants when the price per Class A ordinary share equals or exceeds $18.00”) equals or exceeds $ |
• | if the Reference Value is less than $ |
Level 1: | Quoted prices in active markets for identical assets or liabilities. An active market for an asset or liability is a market in which transactions for the asset or liability occur with sufficient frequency and volume to provide pricing information on an ongoing basis. | |
Level 2: | Observable inputs other than Level 1 inputs. Examples of Level 2 inputs include quoted prices in active markets for similar assets or liabilities and quoted prices for identical assets or liabilities in markets that are not active. | |
Level 3: | Unobservable inputs based on the Company’s assessment of the assumptions that market participants would use in pricing the asset or liability. |
Level 1 |
Level 2 |
Level 3 |
Total |
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Cash held in trust account U.S. Treasury Securities |
$ | $ | $ | — | $ | |||||||||||
Liabilities: |
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Warrant liabilities |
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Public Warrants |
$ | $ | $ | — | $ | |||||||||||
Private Placement Warrants |
— | |||||||||||||||
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|
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Total warrant liabilities |
$ | $ | $ | $ | ||||||||||||
FPA asset |
$ | — | $ | $ | $ | |||||||||||
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Input |
September 30, 2021 (unaudited) |
August 6, 2021 |
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Risk-free interest rate |
% |
% | ||||||
Expected term (years) |
||||||||
Expected volatility |
% |
% | ||||||
Exercise price |
$ |
$ |
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Fair value of Class A ordinary shares |
$ |
$ |
Private Placement |
||||
Fair value as of August 6, 2021 |
$ |
|||
Change in valuation inputs or other assumptions (1) |
( |
) | ||
|
|
|||
Fair value as of September 30, 2021 |
$ |
|||
|
|
(1) |
Represents the non-cash gain on the change in valuation of the Private Placement Warrants and is included in Gain on change in fair value of warrant liability in the unaudited condensed statement of operations. |
FPA Asset |
||||
Fair value as of August 6, 2021 |
$ |
|||
Change in valuation inputs or other assumptions (1) |
$ |
( |
) | |
|
|
|||
Fair value as of September 30, 2021 |
$ |
( |
) | |
|
|
(1) |
Represents the non-cash gain on the change in valuation of the FPA asset and is included in Gain on change in fair value of FPA asset in the unaudited condensed statement of operations. |
Level 1 | – | Quoted prices in active markets for identical assets or liabilities on the reporting date. | ||
Level 2 | – | Pricing inputs are based on quoted prices for similar instruments in active markets, quoted prices for identical or similar instruments in markets that are not active and model-based valuation techniques for which all significant assumptions are observable in the market or can be corroborated by observable market data for substantially the full term of the assets or liabilities. | ||
Level 3 | – | Pricing inputs are generally unobservable and include situations where there is little, if any, market activity for the investment. The inputs into the determination of fair value require management’s judgment or estimation of assumptions that market participants would use in pricing the assets or liabilities. The fair values are therefore determined using factors that involve considerable judgment and interpretations, including, but not limited to, private and public comparables, third-party appraisals, discounted cash flow models, and fund manager estimates. |
* | Filed herewith. |
** | Furnished. |
Blue Whale Acquisition Corp I | ||||||
Date: November 23, 2021 | By: | /s/ Maxime Franzetti | ||||
Name: | Maxime Franzetti | |||||
Title: | Chief Executive Officer and President | |||||
(Principal Executive Officer) | ||||||
Date: November 23, 2021 | By: | /s/ Russ Pillar | ||||
Name: | Russ Pillar | |||||
Title: | Chief Financial Officer | |||||
(Principal Financial and Accounting Officer) |
EXHIBIT 31.1
CERTIFICATION
PURSUANT TO RULE 13a-14 AND 15d-14
UNDER THE SECURITIES EXCHANGE ACT OF 1934, AS AMENDED
I, Maxime Franzetti, certify that:
1. | I have reviewed this Quarterly Report on Form 10-Q of Blue Whale Acquisition Corp I; |
2. | Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report; |
3. | Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report; |
4. | The registrants other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) for the registrant and have: |
a) | Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared; |
b) | [Paragraph omitted pursuant to SEC Release Nos. 33-8238/34-47986 and 33-8392/34-49313]; |
c) | Evaluated the effectiveness of the registrants disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and |
d) | Disclosed in this report any change in the registrants internal control over financial reporting that occurred during the registrants most recent fiscal quarter (the registrants fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrants internal control over financial reporting; and |
5. | The registrants other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrants auditors and the audit committee of the registrants board of directors (or persons performing the equivalent functions): |
(a) | All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrants ability to record, process, summarize and report financial information; and |
(b) | Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrants internal control over financial reporting. |
Date: November 23, 2021 | By: | /s/ Maxime Franzetti | ||||
Name: | Maxime Franzetti | |||||
Title: | Chief Executive Officer | |||||
(Principal Executive Officer) |
EXHIBIT 31.2
CERTIFICATION
PURSUANT TO RULE 13a-14 AND 15d-14
UNDER THE SECURITIES EXCHANGE ACT OF 1934, AS AMENDED
I, Russ Pillar, certify that:
1. | I have reviewed this Quarterly Report on Form 10-Q of Blue Whale Acquisition Corp I; |
2. | Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report; |
3. | Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report; |
4. | The registrants other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) for the registrant and have: |
a) | Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared; |
b) | [Paragraph omitted pursuant to SEC Release Nos. 33-8238/34-47986 and 33-8392/34-49313]; |
c) | Evaluated the effectiveness of the registrants disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and |
d) | Disclosed in this report any change in the registrants internal control over financial reporting that occurred during the registrants most recent fiscal quarter (the registrants fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrants internal control over financial reporting; and |
5. | The registrants other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrants auditors and the audit committee of the registrants board of directors (or persons performing the equivalent functions): |
(a) | All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrants ability to record, process, summarize and report financial information; and |
(b) | Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrants internal control over financial reporting. |
Date: November 23, 2021 | By: | /s/ Russ Pillar | ||||
Russ Pillar | ||||||
Chief Financial Officer | ||||||
(Principal Financial and Accounting Officer) |
EXHIBIT 32.1
CERTIFICATION PURSUANT TO
18 U.S.C. 1350
(SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002)
In connection with the Quarterly Report of Blue Whale Acquisition Corp I (the Company) on Form 10-Q for the quarter ended September 30, 2021, as filed with the Securities and Exchange Commission on the date hereof (the Report), I, Maxime Franzetti, Chief Executive Officer of the Company, certify, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of my knowledge:
(1) | the Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and |
(2) | the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company. |
Date: November 23, 2021 | By: | /s/ Maxime Franzetti | ||||
Name: | Maxime Franzetti | |||||
Title: | Chief Executive Officer | |||||
(Principal Executive Officer) |
EXHIBIT 32.2
CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350
(SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002)
In connection with the Quarterly Report of Blue Whale Acquisition Corp I (the Company) on Form 10-Q for the quarter ended September 30, 2021, as filed with the Securities and Exchange Commission on the date hereof (the Report), I, Russ Pillar, Chief Financial Officer of the Company, certify, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of my knowledge:
(1) | the Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and |
(2) | the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company. |
Date: November 23, 2021 | By: | /s/ Russ Pillar | ||||
Russ Pillar | ||||||
Chief Financial Officer | ||||||
(Principal Financial and Accounting Officer) |
CONDENSED BALANCE SHEET |
Sep. 30, 2021
USD ($)
|
|||||
---|---|---|---|---|---|---|
ASSETS | ||||||
Cash | $ 372,788 | |||||
Prepaid Expense | 1,463,750 | |||||
Total Current Assets | 1,836,538 | |||||
FPA Asset | 100,000 | |||||
Cash held in Trust Account | 229,413,110 | |||||
Total Asset | 231,349,648 | |||||
Current Liabilities | ||||||
Accounts payable - related party | 481,384 | |||||
Accrued Expenses | 837,369 | |||||
Total Current Liabilities | 1,318,753 | |||||
Warrant Liability | 7,381,732 | |||||
Deferred underwriting fee payable | 8,029,284 | |||||
Total Liabilities | 16,729,769 | |||||
Commitments and Contingencies (Note 7) | ||||||
Class A ordinClass A ordinary shares subject to possible redemption, 22,940,811 shares at redemption valueary Shares Subject to Possible Redemption, 22,940,811 Shares at Redemption Value | 229,408,110 | |||||
Shareholders' Deficit | ||||||
Preferred shares - $0.0001 par value; 5,000,000 shares authorized; none issued and outstanding | 0 | |||||
Additional paid-in capital | 0 | |||||
Accumulated Deficit | (14,788,995) | |||||
Total Shareholders' Deficit | (14,788,231) | |||||
Total Liabilities and Shareholders' Deficit | 231,349,648 | |||||
Class A Ordinary Shares | ||||||
Shareholders' Deficit | ||||||
Common Stock, Value, Issued | 0 | |||||
Class F ordinary shares | ||||||
Shareholders' Deficit | ||||||
Common Stock, Value, Issued | 255 | [1],[2] | ||||
Class G ordinary shares | ||||||
Shareholders' Deficit | ||||||
Common Stock, Value, Issued | $ 509 | [1],[2] | ||||
|
CONDENSED STATEMENTS OF OPERATIONS - USD ($) |
3 Months Ended | 7 Months Ended | ||||
---|---|---|---|---|---|---|
Sep. 30, 2021 |
Sep. 30, 2021 |
|||||
Formation costs and other operating expenses | $ 337,701 | $ 342,701 | ||||
Loss from Operations | (337,701) | (342,701) | ||||
Other Income (Expense): | ||||||
Unrealized gain on marketable securities held in Trust Account | 5,000 | 5,000 | ||||
Transaction costs allocable to warrant liability | (342,640) | (342,640) | ||||
Change in FV of Warrant Liability | 1,492,935 | 1,492,935 | ||||
Change in FV of FPA Asset | 200,000 | 200,000 | ||||
Other Income, net | 1,355,295 | 1,355,295 | ||||
Net income | $ 1,017,594 | $ 1,012,594 | ||||
Class A Redeemable Ordinary Shares [Member] | ||||||
Other Income (Expense): | ||||||
Weighted average shares outstanding of ordinary shares | [1],[2] | 13,542,159 | 6,040,865 | |||
Basic and diluted net income per ordinary share | $ 0.06 | $ 0.12 | ||||
Class F Nonredeemable Ordinary Shares [Member] | ||||||
Other Income (Expense): | ||||||
Weighted average shares outstanding of ordinary shares | [1],[2] | 2,383,805 | 2,294,301 | |||
Basic and diluted net income per ordinary share | $ 0.06 | $ 0.12 | ||||
|
CONDENSED STATEMENTS OF OPERATIONS (Parenthetical) - shares |
Aug. 18, 2021 |
Sep. 30, 2021 |
Mar. 11, 2021 |
---|---|---|---|
Class B ordinary shares | |||
Common stock shares outstanding | 5,750,000 | ||
Common stock shares subject to forfeiture | 750,000 | 750,000 | |
Class F ordinary shares | |||
Common stock shares outstanding | 2,548,979 | 2,548,979 | |
Class G ordinary shares | |||
Common stock shares outstanding | 5,097,958 | 5,097,958 | |
Over-Allotment Option [Member] | Class F ordinary shares | |||
Stock issued during period shares issued for services | 326,757 | ||
Over-Allotment Option [Member] | Class G ordinary shares | |||
Stock issued during period shares issued for services | 653,513 |
CONDENSED STATEMENTS OF CHANGES IN SHAREHOLDERS' EQUITY (DEFICIT) - USD ($) |
Total |
Class F ordinary shares |
Class G ordinary shares |
Common Stock
Common Class A [Member]
|
Common Stock
Class F ordinary shares
|
Common Stock
Class G ordinary shares
|
Additional Paid-in Capital |
Additional Paid-in Capital
Class F ordinary shares
|
Accumulated Deficit |
||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Beginning balance, (Shares) at Mar. 09, 2021 | 0 | 0 | 0 | ||||||||||
Beginning Balance at Mar. 09, 2021 | $ 0 | $ 0 | $ 0 | $ 0 | $ 0 | $ 0 | |||||||
Issuance of ordinary shares to sponsors, (Shares) | [1] | 2,222,222 | 4,444,445 | ||||||||||
Issuance of ordinary shares to sponsors | [1] | $ 24,556 | $ 444 | $ 222 | $ 444 | $ 24,334 | |||||||
Net income (loss) | (5,000) | (5,000) | |||||||||||
Ending balance, (Shares) at Mar. 31, 2021 | 0 | 2,222,222 | 4,444,445 | ||||||||||
Ending Balance at Mar. 31, 2021 | 20,000 | $ 0 | $ 222 | $ 444 | 24,334 | (5,000) | |||||||
Beginning balance, (Shares) at Mar. 09, 2021 | 0 | 0 | 0 | ||||||||||
Beginning Balance at Mar. 09, 2021 | 0 | $ 0 | $ 0 | $ 0 | 0 | 0 | |||||||
Net income (loss) | 1,012,594 | ||||||||||||
Ending balance, (Shares) at Sep. 30, 2021 | 0 | 2,548,979 | 5,097,958 | ||||||||||
Ending Balance at Sep. 30, 2021 | (14,788,231) | $ 0 | $ 255 | $ 509 | 0 | (14,788,995) | |||||||
Beginning balance, (Shares) at Mar. 31, 2021 | 0 | 2,222,222 | 4,444,445 | ||||||||||
Beginning Balance at Mar. 31, 2021 | 20,000 | $ 0 | $ 222 | $ 444 | 24,334 | (5,000) | |||||||
Net income (loss) | |||||||||||||
Ending balance, (Shares) at Jun. 30, 2021 | 0 | 2,222,222 | 4,444,445 | ||||||||||
Ending Balance at Jun. 30, 2021 | 20,000 | $ 0 | $ 222 | $ 444 | 24,234 | (5,000) | |||||||
Partial exercise of the underwriters' over-allotment option | [2] | 98 | $ 33 | $ 65 | |||||||||
Partial exercise of the underwriters' over-allotment option (Shares) | [2] | 0 | 326,757 | 653,513 | |||||||||
Class A ordinary shares accretion to redemption value | (15,825,923) | (24,334) | (15,801,589) | ||||||||||
Net income (loss) | 1,017,594 | 1,017,594 | |||||||||||
Ending balance, (Shares) at Sep. 30, 2021 | 0 | 2,548,979 | 5,097,958 | ||||||||||
Ending Balance at Sep. 30, 2021 | $ (14,788,231) | $ 0 | $ 255 | $ 509 | $ 0 | $ (14,788,995) | |||||||
|
CONDENSED STATEMENTS OF CHANGES IN SHAREHOLDERS' EQUITY (DEFICIT) (Parenthetical) - shares |
Aug. 18, 2021 |
Sep. 30, 2021 |
Mar. 11, 2021 |
---|---|---|---|
Class B ordinary shares | |||
Common stock shares outstanding | 5,750,000 | ||
Common stock shares subject to forfeiture | 750,000 | 750,000 | |
Class F ordinary shares | |||
Common stock shares outstanding | 2,548,979 | 2,548,979 | |
Class F ordinary shares | Over-Allotment Option [Member] | |||
Stock issued during period shares issued for services | 326,757 | ||
Class G ordinary shares | |||
Common stock shares outstanding | 5,097,958 | 5,097,958 | |
Class G ordinary shares | Over-Allotment Option [Member] | |||
Stock issued during period shares issued for services | 653,513 |
Description Of Organization And Business Operations |
7 Months Ended |
---|---|
Sep. 30, 2021 | |
Organization, Consolidation and Presentation of Financial Statements [Abstract] | |
Nature of Operations | NOTE 1. DESCRIPTION OF ORGANIZATION AND BUSINESS Blue Whale Acquisition Corp I (the “Company”) is a blank check company incorporated in the Cayman Islands on March 10, 2021. The Company was formed for the purpose of effectuating a merger, capital share exchange, asset acquisition, share purchase, reorganization or other similar business combination with one or more businesses (the “Business Combination”). The Company is an early stage and emerging growth company and, as such, the Company is subject to all of the risks associated with early stage and emerging growth companies. As of September 30, 2021, the Company had not commenced any operations. All activity for the period March 10, 2021 (inception) through September 30, 2021 relates to the Company’s formation and the initial public offering (the “Initial Public Offering”), which is described in Note 4. The registration statement for the Company’s Initial Public Offering was declared effective on August 3, 2021. On August 6, 2021 the Company consummated the Initial Public Offering of 20,000,000 units (“Units” and, with respect to Class A common shares included in the Units offered, the “Public Shares”), generating gross proceeds of $200,000,000, which is described in Note 4. On August 16, 2021, the underwriters partially exercised the over-allotment option and purchased an additional 2,940,811 Over-Allotment Units, generating an aggregate of gross proceeds of $29,408,110, incurred $588,162 in cash underwriting fees, and forfeited the remainder of the option, which over-allotment closed on August 18, 2021. Simultaneously with the closing of the exercise of the overallotment option, the Company completed the private sale (the “Private Placement”) of an aggregate of 294,081 Private Warrants (the “Private Placement Warrants”) to the Company’s Sponsor, Blue Whale Sponsor I LLC, at a purchase price of $2.00 per Private Warrant, generating gross proceeds of $588,162. Following the closing of the Initial Public Offering on August 6, 2021, an amount of $200,000,000 ($10.00 per Unit) from the net proceeds of the sale of the Units in the Initial Public Offering was placed in a trust account (“Trust Account”) which may be invested in U.S. government securities, within the meaning set forth in Section 2(a)(16) of the Investment Company Act of 1940, as amended (the “Investment Company Act”), with a maturity of 185 days or less or in any open-ended investment company that holds itself out as a money market fund meeting the conditions of Rule 2a-7 of the Investment Company Act, as determined by the Company, until the earlier of: (i) the consummation of a Business Combination or (ii) the distribution of the Trust Account to the Company’s stockholders, as described below. Transaction costs amounted to $13,781,960 consisting of $4,588,162 of underwriting fees, $8,029,284 of deferred underwriting fees ( see Note 7 ) and $1,164,514 of other costs. The Company’s management has broad discretion with respect to the specific application of the net proceeds of the Initial Public Offering and the sale of the Private Placement Warrants, although substantially all of the net proceeds are intended to be applied generally toward consummating a Business Combination. Nasdaq rules provide that the Business Combination must be with one or more target businesses that together have a fair market value equal to at least 80% of the balance in the Trust Account (as defined below) (less any deferred underwriting commissions and taxes payable on interest earned on the Trust Account) at the time of the signing a definitive agreement to enter a Business Combination. The Company will only complete a Business Combination if the post-Business Combination company owns or acquires 50% or more of the outstanding voting securities of the target or otherwise acquires a controlling interest in the target sufficient for it not to be required to register as an investment company under the Investment Company Act of 1940, as amended (the “Investment Company Act”). There is no assurance that the Company will be able to successfully effect a Business Combination. Upon the closing of the Initial Public Offering, management has agreed that $10.00 per Unit sold in the Initial Public Offering, including the proceeds from the sale of the Private Placement Warrants, will be held in a trust account (the “Trust Account”) and may or may not be invested in U.S. government securities, within the meaning set forth in Section 2(a)(16) of the Investment Company Act, with a maturity of 185 days or less, or in any open-ended investment company that holds itself out as a money market fund meeting the conditions of Rule 2a-7 of the Investment Company Act, as determined by the Company, until the earlier of: (i) the consummation of a Business Combination or (ii) the distribution of the funds in the Trust Account to the Company’s shareholders, as described below. The Company will provide its holders of the outstanding Public Shares (the “public shareholders”) with the opportunity to redeem all or a portion of their Public Shares upon the completion of a Business Combination either (i) in connection with a shareholder meeting called to approve the Business Combination or (ii) by means of a tender offer. In connection with a proposed Business Combination, the Company may seek shareholder approval of a Business Combination at a meeting called for such purpose at which shareholders may seek to redeem their shares, regardless of whether they vote for or against a Business Combination. The Company will proceed with a Business Combination only if the Company has net tangible assets of at least $5,000,001 either immediately prior to or upon such consummation of a Business Combination and, if the Company seeks shareholder approval, a majority of the outstanding shares voted are voted in favor of the Business Combination. Notwithstanding the foregoing, if the Company seeks shareholder approval of a Business Combination and it does not conduct redemptions pursuant to the tender offer rules, the Company’s Certificate of Incorporation provides that, a public shareholder, together with any affiliate of such shareholder or any other person with whom such shareholder is acting in concert or as a “group” (as defined under Section 13 of the Securities Exchange Act of 1934, as amended (the “Exchange Act”)), will be restricted from seeking redemption rights with respect to 15% or more of the Public Shares without the Company’s prior written consent. The public shareholders will be entitled to redeem their shares for a pro rata portion of the amount then in the Trust Account (initially $10.00 per share, plus any pro rata interest earned on the funds held in the Trust Account and not previously released to the Company to pay its tax obligations). The per-share amount to be distributed to shareholders who redeem their shares will not be reduced by the deferred underwriting commissions the Company will pay to the underwriters (as discussed in Note 7 ). There will be no redemption rights upon the completion of a Business Combination with respect to the Company’s warrants. These shares of Class A ordinary shares are recorded at a redemption value and classified as temporary equity after the completion of the Initial Public Offering, in accordance with Accounting Standards Codification (“ASC”) Topic 480 “Distinguishing Liabilities from Equity.”If a shareholder vote is not required and the Company does not decide to hold a shareholder vote for business or other legal reasons, the Company will, pursuant to its Certificate of Incorporation, offer such redemption pursuant to the tender offer rules of the Securities and Exchange Commission (the “SEC”), and file tender offer documents containing substantially the same information as would be included in a proxy statement with the SEC prior to completing a Business Combination. The Company’s Sponsor has agreed (a) to vote its Founder Shares (as defined in Note 6 ) and any Public Shares purchased during or after the Initial Public Offering in favor of a Business Combination, (b) not to propose an amendment to the Company’s Certificate of Incorporation with respect to the Company’s pre-Business Combination activities prior to the consummation of a Business Combination unless the Company provides dissenting public shareholders with the opportunity to redeem their Public Shares in conjunction with any such amendment; (c) not to redeem any shares (including the Founder Shares) into the right to receive cash from the Trust Account in connection with a shareholder vote to approve a Business Combination (or to sell any shares in a tender offer in connection with a Business Combination if the Company does not seek shareholder approval in connection therewith) or a vote to amend the provisions of the Amended and Restated Certificate of Incorporation relating to shareholders’ rights of pre-Business Combination activity and (d) that the Founder Shares shall not participate in any liquidating distributions upon winding up if a Business Combination is not consummated. However, the Sponsor will be entitled to liquidating distributions from the Trust Account with respect to any Public Shares purchased during or after the Initial Public Offering if the Company fails to complete its Business Combination. The Company will have until August 6, 2023 to consummate a Business Combination (the “Combination Period”). If the Company is unable to complete a Business Combination within 24 months from the closing of the Initial Public Offering (the “Combination Period”), the Company will (i) cease all operations except for the purpose of winding up, (ii) as promptly as reasonably possible but no more than ten business days thereafter, redeem the public shares, at a per-share price, payable in cash, equal to the aggregate amount then on deposit in the Trust Account, including interest earned on the funds held in the Trust Account and not previously released to us to pay taxes (less up to $100,000 of interest to pay dissolution expenses), divided by the number of then outstanding public shares, which redemption will completely extinguish public Shareholder’s rights as shareholders (including the right to receive further liquidation distributions, if any), subject to applicable law, and (iii) as promptly as reasonably possible following such redemption, subject to the approval of the remaining shareholders and the Company’s board of directors, proceed to commence a voluntary liquidation and thereby a formal dissolution of the Company, subject in each case to its obligations under Cayman Islands law to provide for claims of creditors and the requirements of applicable law. The underwriters have agreed to waive their rights to the deferred underwriting commission held in the Trust Account in the event the Company does not complete a Business Combination within the Combination Period and, in such event, such amounts will be included with the funds held in the Trust Account that will be available to fund the redemption of the Public Shares. In the event of such distribution, it is possible that the per share value of the assets remaining available for distribution will be less than the Initial Public Offering price per Unit $10.00. The Sponsor has agreed to waive its rights to liquidating distributions from the 7 ) held in the Trust Account in the event the Company does not complete a Business Combination within the Combination Period, and in such event, such amounts will be included with the other funds held in the Trust Account that will be available to fund the redemption of the Public Shares. In the event of such distribution, it is possible that the per share value of the assetsIn order to protect the amounts held in the trust, the Sponsor has agreed that it will be liable to the Company if and to the extent any claims by a third party for services rendered or products sold to the Company, or a prospective target business with which the Company has entered into a written letter of intent, confidentiality or similar agreement or Business Combination agreement, reduce the amount of funds in the Trust Account to below the lesser of (i) $10.00 per Public Share and (ii) the actual amount per Public Share held in the Trust Account as of the day of liquidation of the Trust Account, if less than $10.00 per share due to reductions in the value of the trust assets, less taxes payable; provided that such liability will not apply to any claims by a third party or prospective target business who executed a waiver of any and all rights to monies held in the Trust Account (whether or not such waiver is enforceable) nor will it apply to any claims under the Company’s indemnity of the underwriters of the Initial Public Offering against certain liabilities, including liabilities under the Securities Act of 1933, as amended (the “Securities Act”). However, the Company has not asked the Sponsor to reserve for such indemnification obligations, nor has the Company independently verified whether the Sponsor has sufficient funds to satisfy its indemnity obligations and believe that the Sponsor’s only assets are securities of the Company. Therefore, the Company cannot assure its shareholders that the Sponsor would be able to satisfy those obligations. None of the Company’s officers or directors will indemnify the Company for claims by third parties including, without limitation, claims by vendors and prospective target businesses. The Company will seek to reduce the possibility that the Sponsor will have to indemnify the Trust Account due to claims of creditors by endeavoring to have all vendors, service providers, prospective target businesses or other entities with which the Company does business, execute agreements with the Company waiving any right, title, interest or claim of any kind in or to monies held in the Trust Account. Risks and Uncertainties Management is currently evaluating the impact of the COVID-19 pandemic on the industry and has concluded that while it is reasonably possible that the virus could have a negative effect on the Company’s financial position, results of its operations and/or search for a target company, the specific impact is not readily determinable as of the date of these financial statements. The financial statements do not include any adjustments that might result from the outcome of this uncertainty. |
Restatement Of Previously Issued Financial Statement |
7 Months Ended | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
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Sep. 30, 2021 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Prior Period Adjustment [Abstract] | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Restatement Of Previously Issued Financial Statement | NOTE 2. RESTATEMENT OF PREVIOUSLY ISSUED FINANCIAL STATEMENT In connection with the preparation of the Company’s condensed financial statements as of September 30, 2021 and in accordance with the SEC and its staff’s guidance on redeemable equity instruments, ASC 480, paragraph 10-S99, redemption provisions not solely within the control of the Company would require ordinary shares subject to redemption to be classified outside of permanent equity. Accordingly, management determined it should restate its previously reported balance sheet as of August 6, 2021 (the “Affected Period”). The Company had previously determined the shares of Class A ordinary shares subject to possible redemption to be equal to the redemption value of $ 10.00per share of Class A ordinary share while also taking into consideration that a redemption cannot result in net tangible assets being less than $ 5,000,001. Effective with these condensed consolidated financial statements, all Class A ordinary shares subject to possible redemption are classified as temporary equity in its entirety. In accordance with SEC Staff Accounting Bulletin No. 99, “Materiality,” and SEC Staff Accounting Bulletin No. 108, “Considering the Effects of Prior Year Misstatements when Quantifying Misstatements in Current Year Financial Statements,” the Company evaluated the corrections and has determined that the related impact was material to the previously filed financial statement that contained the error, reported in the Company’s Form 8-K as of August 6, 2021. Therefore, the Company, in consultation with its Audit Committee, concluded that the Affected Period should be restated to present all Class A ordinary shares subject to possible redemption as temporary equity and to recognize accretion from the initial book value to redemption value at the time of its Initial Public Offering. As such, the Company is reporting those periods in this quarterly report. The impact of the restatement on the financial statements for the Affected Period is presented below. The table below present the effect of the adjustments related to the restatement discussed above of the Company’s previously reported balance sheet as of August 6, 2021:
|
Summary Of Significant Accounting Policies |
7 Months Ended | |||||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Sep. 30, 2021 | ||||||||||||||
Accounting Policies [Abstract] | ||||||||||||||
Significant Accounting Policies | NOTE 3. SUMMARY OF SIGNIFICANT ACCOUNTING Basis of Presentation The accompanying balance sheet is presented in conformity with accounting principles generally accepted in the United States of America (“GAAP”) and pursuant to the rules and regulations of the SEC. Liquidity and Capital Resources As of September 30, 2021, the Company had approximately $229,413,110 cash held in the Trust Account and $372,788 held outside of the Trust Account. Prior to the completion of the Initial Public Offering, the Company’s liquidity needs had been satisfied through a payment of certain offering costs of $25,000 from the Sponsor (see Note 6) for the Founder Shares, and the loan under an unsecured promissory note from the Sponsor of $300,000 (see Note 6). As of September 30, 2021, the Company has not drawn on the Note. Subsequent to the consummation of the Initial Public Offering and Private Placement, the Company’s liquidity needs have been satisfied from the proceeds from the Initial Public Offering and Private Placement not held in the Trust Account. During the interim period ended September 30, 2021, the Company has sustained negative cash flows from operations and expects to continue to incur negative cash flows from operations for at least the next twelve months from the In addition, in order to finance transaction costs in connection with a Business Combination, the Company’s Sponsor or an affiliate of the Sponsor or certain of the Company’s officers and directors may provide the Company Working Capital Loans, as defined below (see Note 6). On November 22, 2021 the Sponsor confirmed to the Company that it will provide any such Working Capital Loans for at least the next twelve months. As of September 30, 2021, there were no amounts outstanding under any Working Capital Loan. Based on the foregoing, management believes that the Company will have sufficient working capital to meet its needs through the earlier of the consummation of a Business Combination or one year from this filing. Over this time period, the Company will be using these funds for paying existing accounts payable, operating costs, identifying and evaluating prospective Initial Business Combination candidates, performing due diligence on prospective target businesses, paying for travel expenditures, selecting the target business to merge with or acquire, and structuring, negotiating and consummating the Business Combination. Emerging Growth Company The Company is an “emerging growth company,” as defined in Section 2(a) of the Securities Act, as modified by the Jumpstart Our Business Startups Act of 2012 (the “JOBS Act”), and it may take advantage of certain exemptions from various reporting requirements that are applicable to other public companies that are not emerging growth companies including, but not limited to, not being required to comply with the independent registered public accounting firm attestation requirements of Section 404 of the Sarbanes-Oxley Act, reduced disclosure obligations regarding executive compensation in its periodic reports and proxy statements, and exemptions from the requirements of holding a nonbinding advisory vote on executive compensation and shareholder approval of any golden parachute payments not previously approved. Further, Section 102(b)(1) of the JOBS Act exempts emerging growth companies from being required to comply with new or revised financial accounting standards until private companies (that is, those that have not had a Securities Act registration statement declared effective or do not have a class of securities registered under the Exchange Act) are required to comply with the new or revised financial accounting standards. The JOBS Act provides that a company can elect to opt out of the extended transition period and comply with the requirements that apply to non-emerging growth companies but any such election to opt out is irrevocable. The Company has elected not to opt out of such extended transition period, which means that when a standard is issued or revised and it has different application dates for public or private companies, the Company, as an emerging growth company, can adopt the new or revised standard at the time private companies adopt the new or revised standard. This may make comparison of the Company’s financial statements with another public company, which is neither an emerging growth company nor an emerging growth company which has opted out of using the extended transition period difficult or impossible because of the potential differences in accounting standards used. Use of Estimates The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. Making estimates requires management to exercise significant judgment. It is at least reasonably possible that the estimate of the effect of a condition, situation or set of circumstances that existed at the date of the financial statements, which management considered in formulating its estimate, could change in the near term due to one or more future confirming events. Accordingly, the actual results could differ significantly from those estimates. Cash held in Trust Account At September 30, 2021, the assets held in the Trust Account were held in money market funds, which are invested primarily in U.S. Treasury Securities. Cash and Cash Equivalents The Company considers all short-term investments with an original maturity of three months or less when purchased to be cash equivalents. The Company had $372,788 in cash and no cash equivalents as of September 30, 2021. Income Taxes The Company complies with the accounting and reporting requirements of ASC Topic 740, “Income Taxes,” which requires an asset and liability approach to financial accounting and reporting for income taxes. Deferred income tax assets and liabilities are computed for differences between the financial statements and tax bases of assets and liabilities that will result in future taxable or deductible amounts, based on enacted tax laws and rates applicable to the periods in which the differences are expected to affect taxable income. Valuation allowances are established, when necessary, to reduce deferred tax assets to the amount expected to be realized. ASC Topic 740 prescribes a recognition threshold and a measurement attribute for the more-likely-than-not to be sustained upon examination by taxing authorities. The Company recognizes accrued interest and penalties related to unrecognized tax benefits, if any, as income tax expense. There were no unrecognized tax benefits and no amounts accrued for interest and penalties as of September 30, 2021. The Company is currently not aware of any issues under review that could result in significant payments, accruals or material deviation from its position. There is currently no taxation imposed on income by the Government of the Cayman Islands. In accordance with Cayman income tax regulations, income taxes are not levied on the Company. Consequently, income taxes are not reflected in the Company’s financial statements. The Company’s management does not expect that the total amount of unrecognized tax benefits will materially change over the next twelve months. Fair Value of Financial Instruments The fair value of the Company’s assets and liabilities, which qualify as financial instruments under ASC Topic 820, “Fair Value Measurement,” approximates the carrying amounts represented in the accompanying balance sheet, primarily due to their short-term nature. Offering Costs Offering costs consist of legal, accounting, underwriting fees and other costs incurred through the Initial Public Offering that are directly related to the Initial Public Offering. Offering costs amounting to $12,164,514 were charged to temporary equity, shareholders’ deficit or operations upon the completion of the Initial Public Offering. Recently Issued Accounting Standards Management does not believe that any recently issued, but not yet effective, accounting pronouncements, if currently adopted, would have a material impact on the balance sheet. |
Initial Public Offering |
7 Months Ended |
---|---|
Sep. 30, 2021 | |
Stockholders' Equity Note [Abstract] | |
Initial Public Offering | NOTE 4. INITIAL PUBLIC OFFERING Pursuant to the Initial Public Offering, the Company sold 20,000,000 Units at a purchase price of $10.00 per Unit. Each Unit will consist of one Class A ordinary share, $0.0001 par value, and one-fourth of one redeemable warrant (“Public Warrant”). Each whole Public Warrant will entitle the holder to purchase one Class A ordinary share at an exercise price of $11.50 per whole share (see Note 9 ). On August 16, 2021, the underwriters partially exercised the over-allotment option and purchased an additional 2,940,811 Over-Allotment Units, generating an aggregate of gross proceeds of $29,408,110, incurred $588,162 in cash underwriting fees, and forfeited the remainder of the option, which over-allotment closed on August 18, 2021. |
Private Placement |
7 Months Ended |
---|---|
Sep. 30, 2021 | |
Private Placement Warrants [Abstract] | |
Private Placement | NOTE 5. PRIVATE PLACEMENT Simultaneously with the initial public offering, the Sponsor purchased an aggregate of 3,000,000 Private Placement Warrants at a price of $2.00 per warrant for an aggregate purchase price of $6,000,000. Simultaneously with the closing of the exercise of the overallotment option, the Company completed the private sale of an additional 294,081 Private Placement Warrants to the Company’s Sponsor, Blue Whale Sponsor I LLC, at a purchase price of $2.00 per Private Warrant, generating gross proceeds of $588,162. Each Private Placement Warrant is identical to the warrants offered in the Initial Public Offering, except there will be no redemption rights or liquidating distributions from the trust account with respect to Private Placement Warrants, which will expire worthless if we do not consummate a Business Combination within the Combination Period. |
Related Party Transactions |
7 Months Ended |
---|---|
Sep. 30, 2021 | |
Related Party Transactions [Abstract] | |
Related Party Transactions | NOTE 6. RELATED PARTY TRANSACTIONS Founder Shares On March 11, 2021, the Company issued an aggregate of 5,750,000 shares of Class B ordinary shares (the “Founder Shares”) to the Sponsor for an aggregate purchase price of $25,000. The Founder Shares include an aggregate of up to 750,000 shares subject to forfeiture by the Sponsor to the extent that the underwriters’ over-allotment is not exercised in full or in part. Such shares have been recapitalized into 2,548,979 Class F ordinary shares and 5,097,958 Class G ordinary shares (which we respectively refer to as “Class F founder shares” and “Class G founder shares,” and collectively refer to as “founder shares” as further described herein). Pursuant to a re-organization of the Company’s share capital effective July 5, 2021, the Class B ordinary shares have been canceled and all of the shares presently issued and outstanding are Class F ordinary shares and Class G ordinary shares. (See Note 9 ). On August 18, 2021, the underwriters partially exercised the over-allotment option resulting in the issuance of an additional 326,757 Class F ordinary shares and 653,513 Class G ordinary shares to the Sponsor. The Sponsor has agreed not to transfer, assign or sell any of its Founder Shares until two years after the completion of a Business Combination. Promissory Note—Related Party On March 11, 2021, the Sponsor agreed to loan the Company an aggregate of up to $300,000 to cover expenses related to the Initial Public Offering pursuant to a promissory note (the “Note”). The Note is non-interest bearing and is payable on the earlier of (i) March 11, 2022 or (ii) the consummation of the Proposed Public Offering. As of September 30, 2021, the Company has not drawn on the Note. Related Party Loans In order to finance transaction costs in connection with a Business Combination, the Company’s Sponsor, an affiliate of the Sponsor, or the Company’s officers and directors may, but are not obligated to, loan the Company funds as may be required (the “Working Capital Loans”). Such Working Capital Loans would be evidenced by promissory notes. The notes would either be repaid upon consummation of a Business Combination, without interest, or, at the lender’s discretion, up to $2,500,000 of notes may be converted upon consummation of a Business Combination into warrants at a price of $2.00 per warrant. The warrants will be identical to the Private Placement Warrants. In the event that a Business Combination does not close, the Company may use a portion of proceeds held outside the Trust Account to repay the Working Capital Loans but no proceeds held in the Trust Account would be used to repay the Working Capital Loans. Administrative Support Agreement The Company entered into an agreement, whereby, commencing on August 6, 2021, through the earlier of the consummation of a Business Combination or the Company’s liquidation, the Company may reimburse an affiliate of the Sponsor up to an amount of $10,000 per month for office space and secretarial and administrative support. |
Commitments and Contingencies |
7 Months Ended |
---|---|
Sep. 30, 2021 | |
Commitments and Contingencies Disclosure [Abstract] | |
Commitments and Contingencies | NOTE 7. COMMITMENTS AND CONTINGENCIES Registration Rights The holders of the Founder Shares, Private Placement Warrants and any warrants that may be issued upon conversion of the Working Capital Loans (and in each case holders of their component securities, as applicable) will be entitled to registration rights pursuant to a registration rights agreement to be signed prior to or on the effective date of the Initial Public Offering, requiring the Company to register such securities for resale (in the case of the Founder Shares, only after conversion to our Class A ordinary shares). The holders of the majority of these securities are entitled to make up to three demands, excluding short form demands, that the Company register such securities. In Underwriting Agreement The Company granted the underwriters a 45-day option to purchase up to 3,000,000 additional Units to cover over-allotments at the Initial Public Offering price, less the underwriting discounts and commissions. The underwriters were paid a cash underwriting discount of 2.00% of the gross proceeds of the Initial Public Offering, or $4,000,000. In addition, the underwriters will be entitled to a deferred fee of three and half percent (3.50%) of the gross proceeds of the Initial Public Offering, or $7,000,000. On August 16, 2021, the Underwriters partially exercised the over-allotment option and purchased an additional 2,940,811 Over-Allotment Units, generating an aggregate of gross proceeds of $29,408,110, incurred $588,162 in cash underwriting fees and $1,029,284 in deferred underwriters’ fees, and forfeited the remainder of the option, which over-allotment closed on August 18, 2021. The deferred fee was placed in the Trust Account and will be paid in cash upon the closing of a Business Combination, subject to the terms of the underwriting agreement. Forward Purchase Agreement The Company entered into a forward purchase agreement that will provide for the purchase by it of up to an aggregate of 5,000,000 units for an aggregate purchase price of up to $50,000,000, or $10.00 per unit, in a private placement to close substantially concurrently with the closing of our initial business combination. The forward purchase investor will determine in its sole discretion the specific number of forward purchase units it will purchase, if any, pursuant to the forward purchase agreement. Each forward purchase unit will consist of one Class A ordinary share and one- fourth of one redeemable warrant. The terms of the forward purchase units will generally be identical to the terms of the units being issued in this offering, except that the securities underlying the forward purchase units will be subject to certain registration rights. Consistent with the warrant liability discussed in Note 10, the Company will account for the FPA in accordance with the guidance contained in ASC 815-40. Such guidance provides that because the FPA units do not meet the criteria for equity treatment thereunder, each unit must be recorded as a liability. Accordingly, the Company will classify the FPA as an asset at its fair value. This asset is subject to re-measurement at each balance sheet date. With each such remeasurement, the FPA asset will be adjusted to fair value, with the change in fair value recognized in the Company’s statement of operations. |
Class A Ordinary Shares Subject to Possible Redemption |
7 Months Ended |
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Sep. 30, 2021 | |
Temporary Equity Disclosure [Abstract] | |
Class A Ordinary Shares Subject to Possible Redemption | NOTE 8. CLASS A ORDINARY SHARES SUBJECT TO POSSIBLE REDEMPTION The Company’s Class A ordinary shares feature certain redemption rights that are considered to be outside of the Company’s control and subject to the occurrence of future events. The Company is authorized to issue 500,000,000 shares of Class A ordinary shares with a par value $0.0001 per share. Holders of the Company’s Class A ordinary shares are entitled to one vote for each share. As of September 30, 2021, there were 22,940,811 Class A ordinary shares outstanding which were subject to possible redemption and are classified outside of permanent equity in the condensed balance sheets. |
Shareholder's Deficit |
7 Months Ended |
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Sep. 30, 2021 | |
Equity [Abstract] | |
Shareholder's Deficit | NOTE 9. SHAREHOLDER’S DEFICIT Preferred Shares Founder shares — respectively. ( See Note 6 ). Shareholders of record are entitled to one vote for each share held (on an as-converted to Class A ordinary share basis) on all matters to be voted on by shareholders. Prior to our initial business combination, only holders of our Class F ordinary shares will have the right to vote on the appointment of directors. Holders of our Class G ordinary shares and public shares will not be entitled to vote on the appointment of directors during such time. The Class F founder shares will automatically convert into Class A ordinary shares on the first business day following the closing of our initial business combination, at a ratio such that the number of Class A ordinary shares issuable upon conversion of all Class F founder shares will equal, in the aggregate on an as converted basis, 10% of the sum of (i) the total number of all Class A ordinary shares issued and outstanding upon completion of this offering (including any over-allotment shares if the underwriters exercise their over-allotment option and without giving effect to any redemptions of any public shares in connection with the initial business combination), plus (ii) the total number of Class A ordinary shares issued or deemed issued or issuable upon conversion of the Class F founder shares, plus (iii) unless waived by our sponsor, the total number of Class A ordinary shares or equity- linked securities exercisable for or convertible into Class A ordinary shares issued, deemed issued, or to be issued, in connection with or in relation to the consummation of the initial business combination, including any forward purchase shares, and excluding (x) any Class A ordinary shares or equity-linked securities exercisable for or convertible into Class A ordinary shares issued, deemed issued, or to be issued, to any seller in the initial business combination and (y) any Class A ordinary shares issuable upon conversion of the Class G founder shares. Prior to our initial business combination, only holders of our Class F ordinary shares will be entitled to vote on the appointment of directors . The Class G founder shares will convert into Class A ordinary shares after our initial business combination only to the extent certain triggering events occur prior to the applicable anniversary of our initial business combination including three triggering events based on our shares trading at per share following the closing of our initial business combination and also upon specified strategic transactions, in each 15%, 20% and 25% case, as described in the Company’s final prospectus filed with the SEC on August 4, 2021 (the “Prospectus”). The Class G founder shares will be convertible into Class A ordinary shares at a ratio such that the number of Class A ordinary shares issuable upon conversion of all founder shares (including both Class F founder shares and Class G founder shares) would equal, in the aggregate on an as-converted basis, (based on varying triggers as discussed in more detail in the Prospectus) of the sum of (i) the total number of all Class A ordinary shares issued and outstanding upon completion of this offering (including any over-allotment shares if the underwriters exercise their over-allotment option and without giving effect to any redemptions of any public shares in connection with the initial business combination), plus (ii) the total number of Class A ordinary shares issued or deemed issued or issuable upon conversion of the Class F founder shares and Class G founder shares, plus (iii) unless waived by our Sponsor, the total number of Class A ordinary shares or equity-linked securities exercisable for or convertible into Class A ordinary shares issued, deemed issued, or to be issued, in connection with or in relation to the consummation of the initial business combination, including any forward purchase shares and excluding any Class A ordinary shares or equity-linked securities exercisable for or convertible into Class A ordinary shares issued, deemed issued, or to be issued, to any seller in the initial business combination. The Class G ordinary shares were granted subject to a performance condition (i.e., the occurrence of a Business Combination), as well as various market conditions (i.e., stock price targets after consummation of the Business Combination). The various market conditions are considered in determining the grant date fair value of these instruments using Monte Carlo simulation. Compensation expense related to the Class G ordinary shares is recognized only when the performance condition is probable of occurrence. |
Warrant Liabilities |
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Sep. 30, 2021 | |||||||||||||||||||||||||||||||||
Warrant Liabilities [Abstract] | |||||||||||||||||||||||||||||||||
Warrant Liabilities | NOTE 10. WARRANT LIABILITIES The Company accounts for 8,294,081 warrants—5,000,000 Public Warrants and the 3,294,081 Private 815-40. Such guidance provides that because the warrants do not meet the criteria for equity treatment thereunder, each warrant must be recorded as a liability. Accordingly, the Company will classify each warrant as a liability at its fair value. This liability is subject to re-measurement at each balance sheet date. With each such remeasurement, the warrant liability will be adjusted to fair value, with the change in fair value recognized in the Company’s statement of operations. Warrants The Company will not be obligated to deliver any Class A ordinary shares pursuant to the exercise of a Public Warrant and will have no obligation to settle such Public Warrant exercise unless a registration statement under the Securities Act covering the issuance of the Class A ordinary shares issuable upon exercise of the Public Warrants is then effective and a prospectus relating thereto is current, subject to the Company satisfying its obligations with respect to registration. No Public Warrant will be exercisable for cash or on a cashless basis, and the Company will not be obligated to issue any shares to holders seeking to exercise their Public Warrants, unless the issuance of the shares upon such exercise is registered or qualified under the securities laws of the state of the exercising holder, or an exemption from registration is available. The Company has agreed that as soon as practicable, but in no event later than 15 business days, after the closing of a Business Combination, it will use its best efforts to file with the SEC a registration statement registering the issuance, under the Securities Act, of the Class A ordinary shares issuable upon exercise of the Public Warrants. The Company will use its best efforts to file with the SEC a registration statement covering the shares of Class A ordinary shares issuable upon exercise of the warrants, to cause such registration statement to become effective and to maintain a current prospectus relating to those shares of Class A ordinary shares until the warrants expire or are redeemed, as specified in the warrant agreement. If a registration statement covering the shares of Class A ordinary shares issuable upon exercise of the warrants is not effective by the 60th business day after the closing of a Business Combination, warrant holders may, until such time as there is an effective registration statement and during any period when the Company will have failed to maintain an effective registration statement, exercise warrants on a “cashless basis” in accordance with Section 3(a)(9) of the Securities Act or another exemption. Redemption of warrants when the price per Class A ordinary share equals or exceeds $18.00 .
The Company will not redeem the warrants as described above unless an effective registration statement under the Securities Act covering the issuance of the Class A ordinary shares issuable upon exercise of the warrants is then effective and a current prospectus relating to those Class A ordinary shares is available throughout the 30-day redemption period. If and when the warrants become redeemable by us, the Company may exercise its redemption right even if the Company is unable to register or qualify the underlying securities for sale under all applicable state securities laws. Redemption of warrants when the price per Class A ordinary share equals or exceeds $10.00 .
If and when the Public Warrants become redeemable by the Company, the Company may not exercise its redemption right if the issuance of shares of ordinary shares upon exercise of the warrants is not exempt from registration or qualification under applicable state blue sky laws or the Company is unable to effect such registration or qualification. The exercise price and number of shares of Class A ordinary shares issuable upon exercise of the warrants may be adjusted in certain circumstances including in the event of a share dividend, or recapitalization, reorganization, merger or consolidation. Additionally, in no event will the Company be required to net cash settle the Public Warrants. If the Company is unable to complete a Business Combination within the Combination Period and the Company liquidates the funds held in the Trust Account, holders of warrants will not receive any of such funds with respect to their warrants, nor will they receive any distribution from the Company’s assets held outside of the Trust Account with the respect to such warrants. Accordingly, the warrants may expire worthless. If the Company calls the Public Warrants for redemption, management will have the option to require all holders that wish to exercise the Public Warrants to do so on a “cashless basis,” as described in the warrant agreement. The exercise price and number of shares of ordinary shares issuable upon exercise of the Public Warrants may be adjusted in certain circumstances including in the event of a share dividend, extraordinary dividend or recapitalization, reorganization, merger or consolidation. If the Company is unable to complete a Business Combination within the Combination Period and the Company liquidates the funds held in the Trust Account, holders of warrants will not receive any of such funds with respect to their warrants, nor will they receive any distribution from the Company’s assets held outside of the Trust Account with respect to such warrants. Accordingly, the warrants may expire worthless. In addition, if (x) the Company issues additional shares of Class A ordinary shares or equity- linked securities for capital raising purposes in connection with the closing of its initial Business Combination at an issue price or effective issue price of less than $9.20 per share of Class A ordinary shares (with such issue price or effective issue price to be determined in good faith by the Company’s board of directors and, in the case of any such issuance to the Sponsor or its affiliates, without taking into account any Founder Shares held by the Sponsor or such affiliates, as applicable, prior to such issuance) (the “Newly Issued Price”), (y) the aggregate gross proceeds from such issuances represent more than 60% of the total equity proceeds, and interest thereon, available for the funding of the Company’s initial Business Combination on the date of the consummation of such initial Business Combination (net of redemptions), and (z) the volume weighted average trading price of the Company’s ordinary shares during the 20 trading day period starting on the trading day prior to the day on which the Company consummates its initial Business Combination (such price, the “Market Value”) is below $9.20 per share, the exercise price of the warrants will be adjusted (to the nearest cent) to be equal to 115% of the higher of the Market Value and the Newly Issued Price and the $18.00 per share redemption trigger price described above will be adjusted (to the nearest cent) to be equal to 180% of the greater of the Market Value and the Newly Issued Price. The Private Placement Warrants will be identical to the Public Warrants included in the Units being sold in the Initial Public Offering, except that the Private Placement Warrants will and the shares of ordinary shares issuable upon the exercise of the Private Placement Warrants will not be transferable, assignable or salable until 30 days after the completion of a Business Combination, subject to certain limited exceptions. Additionally, the Private Placement Warrants will be exercisable on a cashless basis and will be non-redeemable so long as they are held by the initial purchasers or their permitted transferees. If the Private Placement Warrants are |
Fair Value Measurements |
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Fair Value Disclosures [Abstract] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Fair Value Measurements | NOTE 11. FAIR VALUE MEASUREMENT The fair value of the Company’s financial assets and liabilities reflects management’s estimate of amounts that the Company would have received in connection with the sale of the assets or paid in connection with the transfer of the liabilities in an orderly transaction between market participants at the measurement date. In connection with measuring the fair value of its assets and liabilities, the Company seeks to maximize the use of observable inputs (market data obtained from independent sources) and to minimize the use of unobservable inputs (internal assumptions about how market participants would price assets and liabilities). The following fair value hierarchy is used to classify assets and liabilities based on the observable inputs and unobservable inputs used in order to value the assets and liabilities:
The following table presents the Company’s fair value hierarchy for assets and liabilities measured at fair value on a recurring basis as of September 30, 2021:
The Warrants were accounted for as liabilities in accordance with ASC 815-40 and are presented within warrant liabilities on our balance sheet. The warrant liabilities and FPA asset/liability measured at fair value at inception and on a recurring basis, with changes in fair value presented within change in fair value of warrant liabilities in the statement of operations. Level 1 instruments include investments in money market funds and U.S. Treasury securities and the Public Warrants. The Company uses inputs such as actual trade data, benchmark yields, quoted market prices from dealers or brokers, and other similar sources to determine the fair value of its investments. The Public Warrants for periods where no observable traded price was available are valued using a barrier option simulation. For the period ended September 30, 2021 (the periods subsequent to the detachment of the Public Warrants from the Units), the Public Warrant quoted market price was used as the fair value as of each relevant date. Warrants The Warrants were accounted for as liabilities in accordance with ASC 815-40 and are presented within warrant liabilities on our condensed balance sheets. The warrant liabilities are measured at fair value at inception and on a recurring basis, with changes in fair value presented within change in fair value of warrant liabilities in the condensed statements of operations. The Private Warrants were valued using a Modified Black Scholes Option Pricing Model, which is considered to be a Level 3 fair value measurement. The Modified Black Scholes model’s primary unobservable input utilized in determining the fair value of the Private Warrants is the expected volatility of the ordinary shares. The expected volatility as of the IPO date was derived from observable public warrant pricing on comparable ‘blank-check’ companies without an identified target. The expected volatility as of subsequent valuation dates was implied from the Company’s own public warrant pricing.
The following table presents a summary of the changes in the fair value of the Private Placement Warrants, a Level 3 liability, measured on a recurring basis.
FPA Asset The liability for the FPAs were valued using a discounted cash flows method, which is considered to be a Level 3 fair value measurement. Under the discounted cash flow method utilized, the aggregate commitment of $200 million pursuant to the FPAs is discounted to present value and compared to the fair value of the ordinary shares and warrants to be issued pursuant to the FPAs. The fair value of the ordinary shares and warrants to be issued under the FPAs are based on the public trading price of the Units issued in the Company’s IPO. The excess (liability) or deficit (asset) of the fair value of the ordinary shares and warrants to be issued compared to the $50 million fixed commitment is then reduced to account for the probability of consummation of the Business Combination. The primary unobservable input utilized in determining the fair value of the FPA is the probability of consummation of the Business Combination. As of September 30, 2021, the probability assigned to the consummation of the Business Combination was 95% which was determined based on observed success rates of business combinations for special purpose acquisition companies.
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Subsequent Events |
7 Months Ended |
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Sep. 30, 2021 | |
Subsequent Events [Abstract] | |
Subsequent Events | NOTE 12. SUBSEQUENT EVENTS Management of the Company evaluated events that have occurred after the balance sheet date of September 30, 2021 through the date these financial statements were issued. Based upon the review, management did not identify any recognized or non-recognized subsequent events that would have required adjustment or disclosure in the financial statements. November 22, 2021 the Sponsor confirmed to the Company that it will provide any such Working Capital Loans for at least the next twelve months. |
Summary of Significant Accounting Policies (Policies) |
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Accounting Policies [Abstract] | ||||||||||||||
Basis of Presentation | Basis of Presentation The accompanying balance sheet is presented in conformity with accounting principles generally accepted in the United States of America (“GAAP”) and pursuant to the rules and regulations of the SEC. |
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Liquidity and Capital Resources | Liquidity and Capital Resources As of September 30, 2021, the Company had approximately $229,413,110 cash held in the Trust Account and $372,788 held outside of the Trust Account. Prior to the completion of the Initial Public Offering, the Company’s liquidity needs had been satisfied through a payment of certain offering costs of $25,000 from the Sponsor (see Note 6) for the Founder Shares, and the loan under an unsecured promissory note from the Sponsor of $300,000 (see Note 6). As of September 30, 2021, the Company has not drawn on the Note. Subsequent to the consummation of the Initial Public Offering and Private Placement, the Company’s liquidity needs have been satisfied from the proceeds from the Initial Public Offering and Private Placement not held in the Trust Account. During the interim period ended September 30, 2021, the Company has sustained negative cash flows from operations and expects to continue to incur negative cash flows from operations for at least the next twelve months from the In addition, in order to finance transaction costs in connection with a Business Combination, the Company’s Sponsor or an affiliate of the Sponsor or certain of the Company’s officers and directors may provide the Company Working Capital Loans, as defined below (see Note 6). On November 22, 2021 the Sponsor confirmed to the Company that it will provide any such Working Capital Loans for at least the next twelve months. As of September 30, 2021, there were no amounts outstanding under any Working Capital Loan. Based on the foregoing, management believes that the Company will have sufficient working capital to meet its needs through the earlier of the consummation of a Business Combination or one year from this filing. Over this time period, the Company will be using these funds for paying existing accounts payable, operating costs, identifying and evaluating prospective Initial Business Combination candidates, performing due diligence on prospective target businesses, paying for travel expenditures, selecting the target business to merge with or acquire, and structuring, negotiating and consummating the Business Combination. |
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Emerging Growth Company | Emerging Growth Company The Company is an “emerging growth company,” as defined in Section 2(a) of the Securities Act, as modified by the Jumpstart Our Business Startups Act of 2012 (the “JOBS Act”), and it may take advantage of certain exemptions from various reporting requirements that are applicable to other public companies that are not emerging growth companies including, but not limited to, not being required to comply with the independent registered public accounting firm attestation requirements of Section 404 of the Sarbanes-Oxley Act, reduced disclosure obligations regarding executive compensation in its periodic reports and proxy statements, and exemptions from the requirements of holding a nonbinding advisory vote on executive compensation and shareholder approval of any golden parachute payments not previously approved. Further, Section 102(b)(1) of the JOBS Act exempts emerging growth companies from being required to comply with new or revised financial accounting standards until private companies (that is, those that have not had a Securities Act registration statement declared effective or do not have a class of securities registered under the Exchange Act) are required to comply with the new or revised financial accounting standards. The JOBS Act provides that a company can elect to opt out of the extended transition period and comply with the requirements that apply to
non-emerging growth companies but any such election to opt out is irrevocable. The Company has elected not to opt out of such extended transition period, which means that when a standard is issued or revised and it has different application dates for public or private companies, the Company, as an emerging growth company, can adopt the new or revised standard at the time private companies adopt the new or revised standard. This may make comparison of the Company’s financial statements with another public company, which is neither an emerging growth company nor an emerging growth company which has opted out of using the extended transition period difficult or impossible because of the potential differences in accounting standards used. |
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Use of Estimates | Use of Estimates The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. Making estimates requires management to exercise significant judgment. It is at least reasonably possible that the estimate of the effect of a condition, situation or set of circumstances that existed at the date of the financial statements, which management considered in formulating its estimate, could change in the near term due to one or more future confirming events. Accordingly, the actual results could differ significantly from those estimates. |
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Cash held in Trust Account | Cash held in Trust Account At September 30, 2021, the assets held in the Trust Account were held in money market funds, which are invested primarily in U.S. Treasury Securities. |
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Cash and Cash Equivalents | Cash and Cash Equivalents The Company considers all short-term investments with an original maturity of three months or less when purchased to be cash equivalents. The Company had $372,788 in cash and no cash equivalents as of September 30, 2021. |
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Income Taxes | Income Taxes The Company complies with the accounting and reporting requirements of ASC Topic 740, “Income Taxes,” which requires an asset and liability approach to financial accounting and reporting for income taxes. Deferred income tax assets and liabilities are computed for differences between the financial statements and tax bases of assets and liabilities that will result in future taxable or deductible amounts, based on enacted tax laws and rates applicable to the periods in which the differences are expected to affect taxable income. Valuation allowances are established, when necessary, to reduce deferred tax assets to the amount expected to be realized. ASC Topic 740 prescribes a recognition threshold and a measurement attribute for the more-likely-than-not to be sustained upon examination by taxing authorities. The Company recognizes accrued interest and penalties related to unrecognized tax benefits, if any, as income tax expense. There were no unrecognized tax benefits and no amounts accrued for interest and penalties as of September 30, 2021. The Company is currently not aware of any issues under review that could result in significant payments, accruals or material deviation from its position. There is currently no taxation imposed on income by the Government of the Cayman Islands. In accordance with Cayman income tax regulations, income taxes are not levied on the Company. Consequently, income taxes are not reflected in the Company’s financial statements. The Company’s management does not expect that the total amount of unrecognized tax benefits will materially change over the next twelve months. |
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Fair Value of Financial Instruments | Fair Value of Financial Instruments The fair value of the Company’s assets and liabilities, which qualify as financial instruments under ASC Topic 820, “Fair Value Measurement,” approximates the carrying amounts represented in the accompanying balance sheet, primarily due to their short-term nature. |
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Offering Costs | Offering Costs Offering costs consist of legal, accounting, underwriting fees and other costs incurred through the Initial Public Offering that are directly related to the Initial Public Offering. Offering costs amounting to $12,164,514 were charged to temporary equity, shareholders’ deficit or operations upon the completion of the Initial Public Offering. |
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Recently Issued Accounting Standards | Recently Issued Accounting Standards Management does not believe that any recently issued, but not yet effective, accounting pronouncements, if currently adopted, would have a material impact on the balance sheet. |
Restatement of Previously Issued Financial Statement (Tables) |
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Schedule Of Impact of restatement Of Previously Reported Balance Sheet | The table below present the effect of the adjustments related to the restatement discussed above of the Company’s previously reported balance sheet as of August 6, 2021:
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Fair Value Measurements (Tables) |
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Fair Value Disclosures [Abstract] | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Schedule Of Fair Value Hierarchy For Assets and Liabilities Measured At Fair Value on a Recurring basis | The following table presents the Company’s fair value hierarchy for assets and liabilities measured at fair value on a recurring basis as of September 30, 2021:
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Schedule Of Fair Value Of Assets and Liabilities Valuation Techniques and Measurement Inputs |
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Summary Of the changes in the fair value of the warrants measured on recurring basis | The following table presents a summary of the changes in the fair value of the Private Placement Warrants, a Level 3 liability, measured on a recurring basis.
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Summary Of the changes in the fair value of the FPA Asset |
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Restatement Of Previously Issued Financial Statement - Additional Information (Detail) - USD ($) |
Sep. 30, 2021 |
Aug. 06, 2021 |
---|---|---|
Error Corrections and Prior Period Adjustments Restatement [Line Items] | ||
Temporary equity redemption price per share | $ 10.00 | $ 10.00 |
Minimum tangible networth | $ 5,000,001 | $ 5,000,001 |
Summary Of Significant Accounting Policies - Additional Information (Detail) - USD ($) |
7 Months Ended | |
---|---|---|
Sep. 30, 2021 |
Mar. 09, 2021 |
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Cash | $ 372,788 | |
Cash and cash equiavlents | 0 | |
Unrecognized tax benefits | 0 | |
Unrecognized tax benefits, accrued interests and penalities | 0 | |
Offering costs charged to shareholders equity | 12,164,514 | |
Cash held in Trust Account | 229,413,110 | |
Cash | 372,788 | $ 0 |
Working Capital Loans [Member] | ||
Bank Overdrafts | 0 | |
Sposor [Member] | ||
Debt instrument, face amount | 300,000 | |
Due to related parties, current | 0 | |
Sposor [Member] | Common Class B [Member] | ||
Payment of offering costs | $ 25,000 |
Initial Public Offering - Additional Information (Detail) - USD ($) |
7 Months Ended | ||
---|---|---|---|
Aug. 16, 2021 |
Aug. 06, 2021 |
Sep. 30, 2021 |
|
Proceeds from issuance of common stock | $ 225,408,110 | ||
Over-Allotment Option | |||
Stock shares issued during the period shares new issues | 2,940,811 | ||
Proceeds from issuance of common stock | $ 29,408,110 | ||
Underwriting fees | $ 588,162 | ||
Class A Ordinary Shares | |||
Common stock par or stated value per share | $ 0.0001 | ||
Class A Ordinary Shares | Public Warrants | |||
Common stock par or stated value per share | 0.0001 | ||
Class of warrant or right, exercise price of warrants or rights | $ 11.50 | ||
Class A Ordinary Shares | IPO | |||
Stock shares issued during the period shares new issues | 20,000,000 | 20,000,000 | |
Shares issued, price per share | $ 10.00 | ||
Class of warrant or right, exercise price of warrants or rights | $ 2.00 |
Private Placement - Additional Information (Detail) |
7 Months Ended |
---|---|
Sep. 30, 2021
USD ($)
$ / shares
shares
| |
Gross proceeds from private placement issue | $ 0 |
Private Placement Warrants | |
Class of warrants and rights issued during the period | shares | 3,000,000 |
Class of warrants and rights issued, price per warrant | $ / shares | $ 2.00 |
Gross proceeds from private placement issue | $ 6,000,000 |
Private Placement Warrants | Over-Allotment Option | |
Class of warrants and rights issued during the period | shares | 294,081 |
Class of warrants and rights issued, price per warrant | $ / shares | $ 2.00 |
Gross proceeds from private placement issue | $ 588,162 |
Related party transactions - Additional Information (Detail) - USD ($) |
1 Months Ended | ||||||
---|---|---|---|---|---|---|---|
Aug. 18, 2021 |
Aug. 06, 2021 |
Mar. 11, 2021 |
Mar. 31, 2021 |
Sep. 30, 2021 |
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Working Capital Loans | |||||||
Debt instrument, convertible, warrants issued | $ 2,500,000 | ||||||
Warrants issued price per warrant | $ 2.00 | ||||||
Sponsor | |||||||
Debt instrument, face amount | $ 300,000 | ||||||
Due to related parties, current | $ 0 | ||||||
Sponsor | Administrative Service Fee | |||||||
Reimburse of expenses from transactions with related party | $ 10,000 | ||||||
Class B ordinary shares | |||||||
Common stock shares subject to forfeiture | 750,000 | 750,000 | |||||
Common stock, shares, outstanding | 5,750,000 | ||||||
Class B ordinary shares | Sponsor | |||||||
Stock issued during period shares issued for services | 5,750,000 | ||||||
Stock issued during period, value, issued for services | $ 25,000 | ||||||
Class F ordinary shares | |||||||
Stock issued during period, value, issued for services | [1] | $ 24,556 | |||||
Common stock, shares, outstanding | 2,548,979 | 2,548,979 | |||||
Class F ordinary shares | Over-Allotment Option | |||||||
Stock issued during period shares issued for services | 326,757 | ||||||
Class G ordinary shares | |||||||
Stock issued during period, value, issued for services | [1] | $ 444 | |||||
Common stock, shares, outstanding | 5,097,958 | 5,097,958 | |||||
Class G ordinary shares | Over-Allotment Option | |||||||
Stock issued during period shares issued for services | 653,513 | ||||||
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Class A Ordinary Shares Subject to Possible Redemption - Additional Information (Detail) - Class A Ordinary Shares |
7 Months Ended |
---|---|
Sep. 30, 2021
$ / shares
shares
| |
Temporary Equity [Line Items] | |
Temporary equity shares authorized | 500,000,000 |
Temporary equity par or stated value per share | $ / shares | $ 0.0001 |
Temporary equity voting rights | one |
Temporary equity shares outstanding | 22,940,811 |
Fair Value Measurements - Summary Of The Changes In The Fair Value Of The Warrants Measured On Recurring Basis (Detail) - Private Placement Warrants [Member] - Fair Value, Recurring [Member] - Fair Value, Inputs, Level 3 [Member] |
2 Months Ended | |||
---|---|---|---|---|
Sep. 30, 2021
USD ($)
| ||||
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items] | ||||
Fair value, Beginning Balance | $ 3,524,667.00 | |||
Change in valuation inputs or other assumptions | (592,935.00) | [1] | ||
Fair value, Ending Balance | $ 2,931,732.00 | |||
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Fair Value Measurements - Summary Of The Changes In The Fair Value Of The FPA Asset (Detail) - FPA Asset [Member] - Fair Value, Inputs, Level 3 [Member] |
2 Months Ended | |||
---|---|---|---|---|
Sep. 30, 2021
USD ($)
| ||||
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items] | ||||
Fair value, Beginning Balance | $ 100,000 | |||
Change in valuation inputs or other assumptions | (200,000) | [1] | ||
Fair value, Ending Balance | $ (100,000) | |||
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Fair Value Measurements - Additional Information (Detail) $ in Millions |
7 Months Ended |
---|---|
Sep. 30, 2021
USD ($)
| |
Fair Value Disclosures [Abstract] | |
Aggregate commitment amount pursuant to the FPA Asset | $ 200 |
Fixed commitment amount reduced to the probability of consummation of business combination under FPA asset. | $ 50 |
Threshold Percentage of Probability Assigned To Consummation Of Business Combination Determined Based On Success Rates Of Business Combination | 95.00% |
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