Annual report pursuant to Section 13 and 15(d)

FAIR VALUE MEASUREMENTS (Details)

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FAIR VALUE MEASUREMENTS (Details)
Dec. 31, 2021
USD ($)
Debt Securities, Held-to-maturity, Fair Value to Amortized Cost [Abstract]  
Amortized Cost $ 345,088,635
Gross Holding Gain (1,365)
Fair Value 345,090,000
Assets:  
Cash held in the Trust Account 1,188
Marketable securities held in Trust Account 345,089,823
Liabilities, Fair Value Disclosure [Abstract]  
Warrant liabilities 16,405,000
U.S. Treasury Securities  
Assets:  
Marketable securities held in Trust Account 345,088,635
Level 1 | Recurring | Public Warrants  
Liabilities, Fair Value Disclosure [Abstract]  
Warrant liabilities 9,775,000
Level 2 | Recurring | Private Placement Warrants  
Liabilities, Fair Value Disclosure [Abstract]  
Warrant liabilities $ 6,630,000