Quarterly report pursuant to Section 13 or 15(d)

Recurring Fair Value Measurements - Summary of Held To Maturity Securities (Detail)

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Recurring Fair Value Measurements - Summary of Held To Maturity Securities (Detail) - USD ($)
Mar. 31, 2021
Dec. 31, 2020
Schedule of Held-to-maturity Securities [Line Items]    
Carrying Value/Amortized Cost $ 166,272,072 $ 166,243,614
Interest Income 28,458  
Gross Unrealized Gains 14,143 10,751
Gross Unrealized Losses   (12,968)
Fair Value 166,286,215 166,230,646
U S Money Market [Member]    
Schedule of Held-to-maturity Securities [Line Items]    
Carrying Value/Amortized Cost 95 95
Interest Income  
Gross Unrealized Gains
Gross Unrealized Losses  
Fair Value 95 95
US Treasury Securities [Member]    
Schedule of Held-to-maturity Securities [Line Items]    
Carrying Value/Amortized Cost 166,271,977 166,243,519
Interest Income 28,458  
Gross Unrealized Gains 14,143 10,751
Gross Unrealized Losses   (12,968)
Fair Value $ 166,286,120 $ 166,230,551