Quarterly report pursuant to Section 13 or 15(d)

Initial Public Offering - Additional Information (Detail)

v3.22.2.2
Initial Public Offering - Additional Information (Detail) - USD ($)
9 Months Ended
Oct. 11, 2022
Jun. 16, 2022
Jun. 11, 2022
Dec. 11, 2020
Sep. 30, 2022
Sep. 30, 2021
Oct. 06, 2022
Jun. 10, 2022
Dec. 31, 2021
Class of Stock [Line Items]                  
Class of warrants or rights number of shares called for by each warrant or right       1          
Class of warrants or rights exercise price       $ 11.5          
Class of warrants or rights term       5 years          
Payment of stock issuance costs       $ 6,000,000          
Deferred underwriting fee         $ 10,500,000       $ 10,500,000
Temporary equity redemption price per share       $ 10          
Payment from Trust Account in connection with redemption of shares $ 81,200 $ 81,200     $ 249,614,847 $ 0      
Common Class A [Member]                  
Class of Stock [Line Items]                  
Temporary equity redemption price per share         $ 10       $ 10
Payment from Trust Account in connection with redemption of shares         $ (249,614,847)        
Prospective Warrant Redemption [Member]                  
Class of Stock [Line Items]                  
Proceeds from business combination as a total percentage of capital raised         60.00%        
Prospective Warrant Redemption [Member] | Trigger Price One [Member] | Common Class A [Member]                  
Class of Stock [Line Items]                  
Sale of stock issue price per share         $ 9.2        
Number of consecutive trading day period for determining volume weighted average price         20 days        
Percentage of the newly issued share price         115.00%        
Prospective Warrant Redemption [Member] | Trigger Price Two [Member] | Common Class A [Member]                  
Class of Stock [Line Items]                  
Sale of stock issue price per share         $ 18        
Percentage of the newly issued share price         180.00%        
Number of trading days for determining share price         20 days        
Aggregate number of trading days for determining the share price         30 days        
Class of warrants or rights redemption price per warrant         $ 0.01        
Minimum days of notice to be given prior to redemption         30 days        
Company amended and restated certificate of incorporation June 2022                  
Class of Stock [Line Items]                  
Temporary equity stock shares redeemed during the period shares 3,382,949   24,944,949            
Temporary equity redemption price per share             $ 10.05 $ 10.01  
Payment from Trust Account in connection with redemption of shares $ 34,009,688   $ 249,614,847            
After The Completion Of Business Combination [Member]                  
Class of Stock [Line Items]                  
Period after which the warrants are exercisable       30 days          
After The Closing Of Initial Public Offer [Member]                  
Class of Stock [Line Items]                  
Period after which the warrants are exercisable       12 months          
IPO [Member]                  
Class of Stock [Line Items]                  
Stock issued during the period shares       30,000,000          
Deferred underwriting fee       $ 10,500,000          
Over-Allotment Option [Member]                  
Class of Stock [Line Items]                  
Stock issued during the period shares       3,900,000          
Sale of stock issue price per share       $ 10