Data Glossary
API field | API field value example | Business Name | Business Description |
“id” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“lastChangedDateUtc” | “2/25/2021 4:32:48 PM” | Last Changed Date | Last updated date/time for the record |
“companyId” | 1497957 | Company Ref # for the SPAC | Reference number linking API deal to Dealogic Cortex platform Company ID |
“ipoId” | 489863 | ECM Ref # | Reference number linking API deal to Dealogic Cortex platform ECM ID |
“mnaId” | 1248214 | M&A Ref # | Reference number linking API deal to Dealogic Cortex platform M&A ID |
“companyAcquisitionExtensionPeriodMonths” | 12 | SPAC Acquisition Extension Period (Months) | Number of months a SPAC can extend the acquisition period |
“companyAcquisitionLimitDate” | “10/5/2019 12:00:00 AM” | SPAC Acquisition Limit Date | Date by which a SPAC has to complete a business combination or extend the acquisition period |
“companyAcquisitionPeriodMonths” | 24 | SPAC Acquisition Period (Months) | Number of months in which a SPAC has to make an acquistion to avoid liquidation |
“companyBusinessLocation”:”id” | 21684 | Company Nationality | SPAC nationality based on operating/management location |
“companyBusinessLocation”:”code” | “USWBU” | Company Nationality | SPAC nationality based on operating/management location |
“companyBusinessLocation”:”name” | “Boulder” | Company Nationality | SPAC nationality based on operating/management location |
“companyBusinessLocation”:”type” | “City” | Company Nationality | SPAC nationality based on operating/management location |
“companyBusinessLocation”:”parentLocationId” | 5073 | Company Nationality | SPAC nationality based on operating/management location |
“companyBusinessNationality” | “United States” | Company Nationality | SPAC nationality based on operating/management location |
“companyCIK” | “0001819394” | CIK | SEC Central Index Key (CIK) of SPAC |
“companyCornerstoneInvestorsAmount” | 100000000 | Cornerstone Invetors Amount | Amount invested by the Cornerstone Investors |
“companyCornerstoneInvestorsBrowsableURL” | “https://www.sec.gov/Archives/edgar/data….” | Browsable URL | URL link to location within source document with details of Anchor/Cornerstone Investors |
“companyCornerstoneInvestorsSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Report URL | URL link to source document with details of Anchor/Cornerstone Investors |
“withdrawnMnaDeals”:”id” | 0 | Withdrawn M&A Deal Id | ID of withdrawn M&A deal |
“withdrawnMnaDeals”:”announcementDate” | 0 | Withdrawn M&A Announcement Date | Date of initial announced of withdrawn M&A deal |
“withdrawnMnaDeals”:”cancelledDate” | 0 | Withdrawn M&A Cancelled Date | Date of withdrawal of M&A deal |
“withdrawnMnaDeals”:”targetId” | 0 | Withdrawn M&A Target Id | Company ID of target of withdrawn M&A deal |
“withdrawnMnaDeals”:”targetName” | 0 | Withdrawn M&A Target Name | Name of target of withdrawn M&A deal |
“withdrawnMnaDeals”:”valueAtAnnouncementUSD” | 0 | Withdrawn M&A Deal Value at Announcement USD | Announced deal value of withdrawn M&A deal |
“withdrawnMnaDeals”:”acquirorAdvisors”:”parentName” | 0 | Withdrawn M&A Acquiror Advisor Name | Acquiror advisor on the withdrawn M&A deal |
“withdrawnMnaDeals”:”acquirorAdvisors”:”advisorRoleName” | 0 | Withdrawn M&A Acquiror Advisor Role | Acquiror advisor’s role on the withdrawn M&A deal |
“withdrawnMnaDeals”:”targetAdvisors”:”parentName” | 0 | Withdrawn M&A Target Advisor Name | Target advisor on the withdrawn M&A deal |
“withdrawnMnaDeals”:”targetAdvisors”:”advisorRoleName” | 0 | Withdrawn M&A Target Advisor Role | Target advisor’s role on the withdrawn M&A deal |
“withdrawnMnaDeals”:”targetIndustry”:”name” | 0 | Withdrawn M&A Target Industry | Industry of target of withdrawn M&A deal |
“withdrawnMnaDeals”:”targetNationality”:”name” | 0 | Withdrawn M&A Target Nationality | Nationality of target of withdrawn M&A deal |
“companyRedemptions”:”date” | 0 | Redemption Date | Date redemption event occurred |
“companyRedemptions”:”shares” | 0 | Redemption Shares | Number of shares redeemed at event |
“companyRedemptions”:”price” | 0 | Redemption Price | Currency amount per share returned to shareholders who redeemed at event |
“companyRedemptions”:”event” | 0 | Redemption Event Type | Indicates whether redemption event is SPAC extension or business combination close |
“mnaValueRevisedUSD” | 0 | Deal Value Revised | New Deal Value if De-SPAC terms are revised |
“companyLiquidatedDate” | 0 | SPAC Liquidated Date | Date of liquidation of SPAC |
“companyExtensionEndDate” | 0 | SPAC Extension Period – End Date | Date by which SPAC must make an acquisition if extended beyond initial limit date |
“mnaBackstopMaxAmountUSD” | 0 | Backstop Amount (Max) | Maximum amount of potential backstop financing on De-SPAC |
“mnaBackstopUsedAmountUSD” | 0 | Backstop Amount (Used) | Final amount of backstop financing used on DeSPAC |
“ipoExchangeLocation” | 0 | Exchange Location | Nationality of the exchange where the SPAC is listed |
“companyCrescentTermThresholdUSD” | 9.2 | Crescent Term Threshold | Threshold Price at which warrant strike price may be adjusted |
“companyCrescentTermTresholdBrowsableURL” | “https://www.sec.gov/Archives/edgar/data….” | Browsable URL | URL link to location within source document with details of the Crescent Term |
“companyCrescentTermTresholdSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Report URL | URL link to source document with details of the Crescent Term |
“companyEscrowValueUSD” | 350000000 | SPAC Escrow (Local Currency) | Amount to be placed in Trust after the IPO in USD |
“companyEstimatedCashperShareAtLiquidation” | 13.7620182731856 | “” | “” |
“companyEstimatedTrustAmountAtLiquidation” | 316526420.28327 | “” | “” |
“companyIncorporationNationality” | “United States” | Company Nationality | SPAC nationality based on operating/management location |
“companyInvestorPresentationLink” | “https://www.sec.gov/Archives/edgar/data….” | Investor Presentation (Link) | URL link to Investor Presentation |
“companyIsAcquisitionCompleted” | “FALSE” | SPAC Acquisition Completed (Y/N) | Flag to indicate whether a SPAC has completed a business combination |
“companyIsLiquidated” | “FALSE” | SPAC Liquidated (Y/N) | Flag to indicate whether a SPAC has liquidated |
“companyLatestReportedTrustReportDate” | “12/31/2020 12:00:00 AM” | Last Reported Trust Date | Financial reporting date of corresponding reported trust amount in quarterly filing |
“companyLatestReportedTrustSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Report URL | URL link to SEC quarterly filing containing latest trust amount |
“companyLatestReportedTrustUSD” | 350000000 | Last Reported Trust Amount | Latest amount in SPAC trust account in USD as reported in quarterly filing |
“companyLegalName” | “Gores Holdings VI Inc” | Company | Name of SPAC |
“companyManagementTeam” | “”Chairman: Alec Gores CEO: Mark R. Stone CFO: Andrew McBride”” | SPAC Management Team | Concated list of the SPAC Managers |
“companyMergerAgreementURL” | “https://www.sec.gov/Archives/edgar/data….” | Merger Agreement (Link) | URL link to Merger Agreement |
“companyMinimumTargetValuePercent” | 80 | SPAC Minimum Target Value % | Minimum percentage of SPAC Trust cash to be used for the acquisition |
“companyPIPEInvestorsSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Report URL | URL link to source document with details of the PIPE Investors |
“companyPublicSharesAfterRedemption” | 37412107 | Public Shares After Vote | Number of public shares that were not redeemed |
“companyRedeemedShares” | 12587893 | Shares Redeemed | Total number of shares redeemed (at time of combination + due to extensions) |
“companyRedeemedSharesPercentage” | 0.25175786 | % Redeemed | % of total public shares subject to redemption that have been redeemed |
“companyRedeemedValue” | 125878930 | Aggregated Value of Shares Redeemed | Total value of amount returned to redeeming shareholders |
“companyRedemptionBrowsableURL” | “https://www.sec.gov/Archives/edgar/data….” | Browsable URL | Url ink to location within source document containing redemption details |
“companyRedemptionNote” | “Details on any redemption-linked backstop” | Redemption / Backstop Note | Details on any redemption-linked backstop |
“companyRedemptionSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Report URL | URL link to source document containing redemption details |
“companyS1ShareholdersReportURL” | “https://www.sec.gov/Archives/edgar/data….” | Shareholder Report URL | URL Link to post-DeSPAC SEC registration form (S-1) |
“companySharesRedemptionPriceUSD” | 10 | Share Redemption Price | Amount per share in USD returned to shareholders who redeemed their shares |
“companySponsorAffiliateBrowsableURL” | “https://www.sec.gov/Archives/edgar/data….” | Browsable URL | URL link to location within source document for the Sponsor Affiliate |
“companySponsorAffiliateId” | 654472 | Sponsor Affiliate Id | Entity Id of Corporate entity affiliated to the Sponsor (eg Fintech Masala) |
“companySponsorAffiliateLegalName” | “Gores Group LLC” | Sponsor Affiliate | Name of Corporate entity affiliated to the Sponsor (eg Fintech Masala) |
“companySponsorAffiliateSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Report URL | URL link to source document for the Sponsor Affiliate |
“companySponsorAtRiskBrowsableURL” | “https://www.sec.gov/Archives/edgar/data….” | Browsable URL | URL link to location within source document for the Sponsor At-risk capital |
“companySponsorAtRiskCapitalShareQuantity” | 4000000 | At Risk Capital No | Amount of security purchased by SPAC Sponsor |
“companySponsorAtRiskCapitalType” | “Warrant” | At Risk Capital Type | Type of at-risk capital purchased by SPAC Sponsor (Unit, Share, Warrant) |
“companySponsorAtRiskCapitalValue” | 8000000 | At Risk Capital $ | Total value of at-risk capital purchased by SPAC Sponsor. |
“companySponsorAtRiskPurchasePriceUSD” | 2 | At Risk Purchase Price | Price per security in USD purchased by SPAC Sponsor |
“companySponsorAtRiskSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Report URL | URL link to source document for the Sponsor At-risk capital |
“companySponsorPromoteBrowsableURL” | “https://www.sec.gov/Archives/edgar/data….” | Browsable URL | URL link to location within source document for the Sponsor Promote details |
“companySponsorPromoteCornerstoneGiveUpPercentage” | 40 | Cornerstone / Anchor Give Up Shares % | Percentage of promote shares transferred to cornerstone / anchor investors |
“companySponsorPromoteCornerstoneGiveUpPriceUSD” | 0.003 | Cornerstone / Anchor Give Up Price | Price at which promote shares are transferred to cornerstone / anchor investors |
“companySponsorPromoteCornerstoneGiveUpShares” | 2250000 | Cornerstone / Anchor Give Up Shares | Number of shares tranferred to cornerstore / anchor investors |
“companySponsorPromotePercentage” | 0.2 | Sponsor Promote % of Outstanding | Sponsor Promote as % of total shares issued and outstanding |
“companySponsorPromoteShares” | 8625000 | Sponsor Promote Shares | Number of Sponsor Promote share |
“companySponsorPromoteSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Report URL | URL link to source document for the Sponsor Promote details |
“companyTrustValueAfterRedemption” | 374121070 | Trust Value After Vote | Calculated amount remaining in trust after distribution of amounts to shareholders who redeemed their shares |
“companyWarrantRedemptionBrowsableURL” | “https://www.sec.gov/Archives/edgar/data….” | Browsable URL | URL link to location within source document for warrant redemption details |
“companyWarrantRedemptionPriceUSD” | 18 | Warrant Redemption Trigger Price | Warrant trading price point at which SPAC may redeem warrants |
“companyWarrantRedemptionSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Report URL | URL link to source document for warrant redemption details |
“companyWarrantRedemptionTerms” | “20 of 30 days” | Warrant Redemption Terms | The number of days out of a certain period the warrant redemption price must be met (e.g. 20 out of 30) |
“ipoCancelledDate” | “12/10/2020 12:00:00 AM” | Withdrawn/Postponed Date | Date IPO is officially withdrawn or postponed |
“ipoComposition” | “1 cso + 1/5 wnt” | Unit Composition | Description of the securities that make up one unit in the IPO offering |
“ipoCurrencyCode” | “USD” | Currency | Currency of IPO |
“ipoCurrencyName” | “US Dollar” | Currency | Currency of IPO |
“ipoDeferredFeePercent” | 3.5 | SPAC Deferred Fee % | Disclosed deferred IPO fee % |
“ipoDeferredFeePerShare” | 0.35 | SPAC Deferred Fee Per Share | Disclosed deferred IPO fee per share |
“ipoExchange” | “NASDAQ-US” | IPO Exchange | Stock exchange of SPAC IPO |
“ipoExchangeNationality” | “United States” | Nationality of IPO Exchange | Nationality of stock exchange of SPAC IPO |
“ipoInitialExercisePrice” | 11.5 | Warrant Exercise Price | Exercise price of warrants |
“ipoExpectedDate” | “12/10/2020 12:00:00 AM” | Expected Date | Date on on which final number of IPO shares and price confirmed |
“ipoFilingDate” | “10/5/2020 12:00:00 AM” | Filing Date | Date of first official public filing of IPO transaction |
“ipoFirstTradeDate” | “12/11/2020 12:00:00 AM” | First Trade Date | First day SPAC IPO security trades on the stock exchange |
“ipoFPABrowsableURL” | “https://www.sec.gov/Archives/edgar/data….” | Browsable URL | URL link to location within source document for Forward Purchase Agreement |
“ipoFPACommittedAmountUSD” | 25000000 | Committed FPA Amount | Value of committed amount Forward Purchase Agreeement |
“ipoFPANote” | “Details of the forward purchase agreement” | FPA Note | Details of parties to the Forward Purchase agreement, terms and amendments |
“ipoFPAOptionalAmountUSD” | 25000000 | Optional FPA Amount | Value of optional amount Forward Purchase Agreeement |
“ipoFPASourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Report URL | URL link to source document for the Forward Purchase Agreement |
“ipoFPAUsedAmountUSD” | 25000000 | FPA Used Amount USD | Value of Forward Purchase Agreement used |
“ipoGrossFeePercentDisclosed” | 5.5 | Gross Fee % (Disc) | Disclosed IPO fee %, includes up front and deferred fee |
“ipoInitialExercisePriceUSD” | 11.5 | Initial Exercise Price (Local) | Exercise price of warrants in USD |
“ipoInitialMidPointRange” | 10 | Initial Mid Point Range | Mid-point of IPO offer price range |
“ipoIsFPAgreed” | “TRUE” | FPA Y/N | Indicates if there was a Forward Purchase Agreement at the time of the SPAC IPO |
“ipoOfferPrice” | 10 | IPO Offer Price | IPO offer price |
“ipoOfferPriceUSD” | 10 | IPO Offer Price USD | USD equivalent of IPO offer price |
“ipoOverallotmentExercisedDate” | “12/14/2020 12:00:00 AM” | Overallotment Date | Date the overallotment is exercised |
“ipoOverallotmentValueAuthorisedInitialUSD” | 45000000 | Ovl Value Initial USD | Total value of overallotment shares/units initially filed |
“ipoOverallotmentValueExercisedUSD” | 45000000 | Ovl Value USD | Total Value of overallotment shares/units exercised |
“ipoPricingDate” | “12/10/2020 12:00:00 AM” | Pricing Date | Date final number of IPO shares and price confirmed |
“ipoPrimarySharesOffered” | 34500000 | Primary Shares Offered | Number of primary shares offered in the SPAC IPO |
“ipoRevisionDate” | “12/10/2020 12:00:00 AM” | Revision Date | Date of latest revision to IPO terms |
“ipoSecRegistrationNumber” | “333-249312” | Registration # | Registration number of SPAC IPO filing with SEC |
“ipoSecurityTypeCode” | “UNIT” | Deal Type of Security | Type of IPO Securities (eg Shares, Units) |
“ipoSecurityTypeName” | “Units” | Deal Type of Security | Type of IPO Securities (eg Shares, Units) |
“ipoSettlementDate” | “12/15/2020 12:00:00 AM” | Settlement Date | Date the IPO investors make payment for shares |
“ipoSubTypeCode” | “IPO-FP” | Deal Sub Type | Type of IPO (Fixed Price, etc) |
“ipoSubTypeName” | “IPO – Fixed Price” | Deal Sub Type | Type of IPO (Fixed Price, etc) |
“ipoTotalSharesOffered” | 34500000 | Total Shares Offered | Total number of shares offered |
“ipoTotalOverallotmentSharesAuthorised” | 4500000 | Ovl Authorized Final (Shares) | Total number of overallotment shares/units available at pricing |
“ipoTotalOverallotmentSharesAuthorisedInitial” | 4500000 | Ovl Authorized Initial (Shares) | Total number of overallotment shares/units initially filed |
“ipoTotalOverallotmentSharesExercised” | 4500000 | Ovl Exercised (Shares) | Number of overallotment shares/units exercised |
“ipoTotalSharesInitialExcludingOverallotment” | 30000000 | Total Shares Incl Non-Deal Initial Excl Ovl | Total number of shares/units initially filed excluding potential overallotment shares/units |
“ipoTotalSharesOfferedExcludingOverallotment” | 30000000 | Total Shares Incl Non-Deal Excl Ovl | Total number of shares/units sold in IPO excluding the overallotment |
“ipoTotalValueExcludingOverallotmentUSD” | 300000000 | Total Value Incl Non-Deal Excl Ovl USD (m) | Total value of shares/units sold in IPO excluding the overallotment |
“ipoTotalValueInitialExcludingOverallotmentUSD” | 300000000 | Total Value Incl Non-Deal Initial Excl Ovl USD | Total value of shares/units initially filed excluding potential overallotment shares/units |
“ipoTotalValueUsd” | 375000000 | IPO Deal Value | Total Value of the SPAC IPO |
“ipoTradeDate” | “12/10/2020 12:00:00 AM” | Trade Date | Trade date of IPO reported by underwriters |
“ipoUnitSeparationDays” | 52 | Unit Separation Date | Date when IPO unit can be traded separately as shares and warrants |
“ipoUnitSeparationDaysBrowsableURL” | “https://www.sec.gov/Archives/edgar/data….” | Browsable URL | URL link to location within source document for the unit separation date |
“ipoUnitSeparationDaysSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Report URL | URL link to source document for the unit separation date |
“ipoWarrantCover” | 0.2 | Warrant Cover | Number of shares underlying warrants per unit |
“ipoWarrantEntitlement” | “1” | Warrant Entitlement | Number of shares underlying each warrant |
“mnaAnnouncementDate” | “2/8/2021 12:00:00 AM” | Filing/Announcement Date | Date the De-SPAC transaction is announced |
“mnaCancelledDate” | “2/8/2021 12:00:00 AM” | Withdrawn/Canceled Date | Date the De-SPAC transaction is withdrawn |
“mnaCashConsiderationUSD” | 500000000 | Cash Consideration USD | Value of consideration paid in cash |
“mnaCommonShareConsiderationUSD” | 4000000000 | Common Share Consideration USD | Value of consideration paid in acquiror shares |
“mnaCompletionDate” | “2/8/2021 12:00:00 AM” | Pricing/Completion Date | Date the De-SPAC transaction is completed |
“mnaEarnoutSponsorNote” | “Earnback” | Earnout Sponsor Note | Details on Sponsor Earnout |
“mnaEarnoutSponsorShares” | 900000 | Earnout Sponsor Shares | Number of shares subject to Sponsor Earnout |
“mnaEarnoutTargetNote” | “Three equal tranches at trigger values.” | Earnout Target Note | Details on Target Earnout |
“mnaEarnoutTargetShares” | 27000000 | Earnout Target Shares | Number of shares subject to Target Earnout |
“mnaEarnoutTradingDays” | “10 out of 20” | Earnout Trading Days | The number of days out of a certain period the Earnout trigger must be met (e.g. 20 out of 30) |
“mnaExpectedCloseDate” | “5/8/2021 12:00:00 AM” | Expected Date | Date an announced De-SPAC transaction is expected to complete |
“mnaInvPresProFormaOwnershipFPAPercent” | 1 | ProFormaOwnership FPAPercent | Proforma post close FPA parties ownership detailed in investor presentation |
“mnaInvPresProFormaOwnershipOtherPercent” | 1 | ProFormaOwnership OtherPercent | Proforma post close Sponsor ownership detailed in investor presentation |
“mnaInvPresProFormaOwnershipPIPEPercent” | 10.1 | ProFormaOwnership PIPEPercent | Proforma post close PIPE investor ownership detailed in investor presentation |
“mnaInvPresProFormaOwnershipSPACInvestorsPercent” | 11.8 | ProFormaOwnership SPACInvestorsPercent | Proforma post close existing SPAC public shareholder ownership detailed in investor presentation |
“mnaInvPresProFormaOwnershipSponsorPercent” | 1 | ProFormaOwnership SponsorPercent | Proforma post close Sponsor ownership detailed in investor presentation |
“mnaInvPresProFormaOwnershipTargetPercent” | 75.1 | ProFormaOwnership TargetPercent | Proforma post close Target ownership detailed in investor presentation |
“mnaInvPresSourcesBalanceSheetCash” | 100000000 | Sources BalanceSheetCash | Amount of Cash on the Balance Sheet of Target Company. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresSourcesCurrency” | “USD” | Sources Currency | Currency used for Sources Table. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresSourcesFPACash” | 100000000 | Sources FPACash | Amount of Cash from any FPA for use in DeSPAC. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresSourcesOtherCash” | 100000000 | Sources OtherCash | Amount of Cash from other sources for use in DeSPAC. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresSourcesPIPECash” | 295000000 | Sources PIPECash | Amount of Cash from any PIPE for use in DeSPAC. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresSourcesRolloverDebt” | 100000000 | Sources RolloverDebt | Amount of Target company debt rolled over. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresSourcesSponsorEquity” | 100000000 | Sources SponsorEquity | Amount of rollover equity from the SPAC Sponsor. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresSourcesTargetEquity” | 2189000000 | Sources TargetEquity | Amount of rollover equity from the Target. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresSourcesTrustCash” | 345000000 | Sources TrustCash | Amount of Cash in Trust to be used in DeSPAC. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresUseCashToBalanceSheet” | 615000000 | Use CashToBalanceSheet | Amount of Cash on Balance Sheet of successor company. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresUseCashToSeller” | 100000000 | Use CashToSeller | Amount of Cash consideration paid to seller in relation to DeSPAC. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresUseCurrency” | “USD” | Use Currency | Currency used for Uses Table. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresUseOtherCash” | 100000000 | Use OtherCash | Other miscellaneous uses of cash in relation to DeSPAC. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresUseRepayDebt” | 100000000 | Use RepayDebt | Amount of Cash used to pay down debt of Target/Successor company. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresUseRolloverDebt” | 100000000 | Use RolloverDebt | Amount of Target company debt rolled over. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresUseSponsorEquity” | 100000000 | Use SponsorEquity | Amount of rollover equity from the SPAC Sponsor. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresUseTargetEquity” | 2189000000 | Use TargetEquity | Amount of rollover equity from the Target. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresUseTransactionExpenses” | 25000000 | Use TransactionExpenses | Total transaction fees & expenses related to DeSPAC. Codified from Source & Use Table in Investor Presentation |
“mnaInvPresValuationCurrency” | “USD” | Valuation Currency | Currency of the stated Equity and Enterprise Valuation |
“mnaInvPresValuationEnterpriseValue” | 2260000000 | Valuation EnterpriseValue | Enterprise Value of post combination company as stated in the investor presentation |
“mnaInvPresValuationEquityValue” | 2915000000 | Valuation EquityValue | Equity Value of post combination company as stated in the investor presentation |
“mnaLockupPIPEDays” | 180 | Lockups PIPE Days | Number of days PIPE Investor lock-up is in effect |
“mnaLockupPIPEMinimumDays” | 120 | Lockups PIPE Minimum Days | Minimum number of days PIPE Investor lock-up is in effect and not impacted by early release |
“mnaLockupPIPEPriceHurdle” | 12 | Lockups PIPE PriceHurdle | Share Price value which may release the lock-up on PIPE Investor shares early |
“mnaLockupSponsorDays” | 365 | Lockups Sponsor Days | Number of days Sponsor lock-up is in effect |
“mnaLockupSponsorMinimumDays” | 150 | Lockups Sponsor Minimum Days | Minimum number of days Sponsor lock-up is in effect and not impacted by early release |
“mnaLockupSponsorPriceHurdle” | 12 | Lockups Sponsor PriceHurdle | Share Price value which may release the lock-up on Sponsor shares early |
“mnaLockupTargetDays” | 180 | Lockups Target Days | Number of days Target lock-up is in effect |
“mnaLockupTargetMinimumDays” | 120 | Lockups Target Minimum Days | Minimum number of days Target lock-up is in effect and not impacted by early release |
“mnaLockupTargetPriceHurdle” | 12 | Lockups Target PriceHurdle | Share Price value which may release the lock-up on Target shares early |
“mnaMinimumCashAtClosing” | 520000000 | Minimum Cash Closing Condition | Value of Minimum Cash Closing Condition for DeSPAC |
“mnaNewShares” | 1000000 | Acquiror Shares Issued to Target | Number of acquiror shares issued to target shareholders as consideration for the deal |
“mnaOtherConsiderationUSD” | 500000000 | Other Consideration Amount USD | Value of any consideration (ex cash, shares) |
“mnaRecordDate” | “5/8/2021 12:00:00 AM” | Record Date | Record date for eligibility for partcipation in business combination vote |
“mnaRecordDateBrowsableURL” | “https://www.sec.gov/Archives/edgar/data….” | Record Date Browsable URL | URL link to location within source document for Record Date |
“mnaRecordDateSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Record Date Report URL | URL link to source document for Record Date |
“mnaShareholderVoteDate” | “5/8/2021 12:00:00 AM” | Shareholder Vote Dates | Date of business combination vote |
“mnaShareholderVoteDateBrowsableURL” | “https://www.sec.gov/Archives/edgar/data….” | Shareholder Vote Dates Browsable URL | URL link to location within source document for Shareholder Vote Date |
“mnaShareholderVoteDateSourceURL” | “https://www.sec.gov/Archives/edgar/data….” | Shareholder Vote Dates Report URL | URL link to source document for Shareholder Vote Date |
“mnaSponsorForfeitNote” | “Details about the Sponsor Forfeit” | Sponsor Forfeit Note | Details on Sponsor Promote Forfeit including whether unconditional, redemption or PIPE linked |
“mnaSponsorForfeitSharesAtAnnouncement” | 984706 | Sponsor Forfeit Shares No At Announcement | Number of Sponsor Promote shares to be forfeited as of the time of DeSPAC announcement |
“mnaSponsorForfeitSharesAtClose” | 984706 | Sponsor Forfeit Shares No At Close | Final number of Sponsor Promote shares forfeited at the time of DeSPAC closing |
“mnaSponsorForfeitWarrantsAtAnnouncement” | 300000 | Sponsor Forfeit Warrants at Announcement | Number of Sponsor Promote Warrants to be forfeited as of the time of DeSPAC announcement |
“mnaSponsorForfeitWarrantsAtClose” | 300000 | Sponsor Forfeit Warrants at Close | Final number of Sponsor Promote Warrants forfeited at the time of DeSPAC closing |
“mnaSponsorWarrantAdjustment” | 10000000 | Sponsor Forfeit WarrantAdjustment | Number of Sponsor Warrants subject to adjustment at DeSPAC closing |
“mnaSponsorWarrantAdjustmentDetails” | “Working Capital Loan” | Sponsor Forfeit WarrantAdjustment Details | Details of adjustment to Sponsor Warrants |
“mnaTargetId” | 1270559 | Target Id | Entity Identifier of target company |
“mnaTargetIndustry”:”id” | 42 | Target Specific Industry Group (SIG) (Primary) | Specific industry group (eg Healthcare – Instruments) of the target company |
“mnaTargetIndustry”:”code” | “COSO” | Target Specific Industry Group (SIG) (Primary) | Specific industry group (eg Healthcare – Instruments) of the target company |
“mnaTargetIndustry”:”name” | “Computers & Electronics-Software” | Target Specific Industry Group (SIG) (Primary) | Specific industry group (eg Healthcare – Instruments) of the target company |
“mnaTargetIndustry”:”groupHeadIndustryId” | 34 | Target Specific Industry Group (SIG) (Primary) | Specific industry group (eg Healthcare – Instruments) of the target company |
“mnaTargetName” | “Matterport Inc” | Target | Name of target company |
“mnaTargetNetDebtUSD” | 2000000000 | Target Net Debt USD | Net debt of the De-SPAC target |
“mnaValueAtAnnouncementUSD” | 5000000000 | Deal Value at Announcement USD (m) | Value of the De-SPAC including the assumption of the target’s net debt at the time of announcement |
“mnaValueUSD” | 2971027100 | Deal Value USD (m) | Value of the De-SPAC including the assumption of the target’s net debt |
“mnaVoteResultsFor” | 25330931 | Vote Results: For | Number of votes in favor of business combination |
“mnaVoteResultsAgainst” | 33078 | Vote Results: Against | Number of votes against business combination |
“mnaVoteResultsAbstain” | 44191 | Vote Results: Abstain | Number of abstentions in business combination vote |
“mnaVoteResultsNonVotes” | 0 | Vote Results: Non Votes | Number of non-votes in business combination vote |
“spacFamily” | “Gores Group LLC” | SPAC Family | Indicator of wider Sponsor grouping of SPACs that SPAC belongs to (eg Gores) |
“spacStatus” | “Announced M&A” | SPAC Status | Current lifecycle stage of SPAC (IPO, Seeking Target, De-SPAC, Post Combination, Withdawn/Liquidated) |
“companyManagement”:”fullName” | “John Smith” | Name | Name of individual in SPAC management team |
“companyManagement”:”position” | “Charmain” | Position | Role of individual in SPAC management team |
“companyManagement”:”biography” | “Detailed biograpy of the individual from the filing document” | Biography | Biography (sourced from transaction prospectus) of individual in SPAC management team |
“companyManagement”:”age” | “65” | Age | Age of indivisual in SPAC management team |
“companyManagementAffiliations”:”fullName” | “John Smith” | Name | Name of individual in SPAC management team |
“companyManagementAffiliations”:”affiliatedEntityName” | “Gores Group LLC” | Affiliated Entities | Name of any affiliated entities to an individual in SPAC management team |
“companyManagementAffiliations”:”affiliatedEntityId” | 1497957 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“companyS1Shareholders”:”name” | “Entities affiliated within the D.E. Shaw group” | Shareholder Name | Name of entity listed in Selling Shareholders section of post-DeSPAC SEC registration form (S-1) |
“companyS1Shareholders”:”shares” | 2000000 | Shareholder Shares | Number of shares registered for each entity listed in Selling Shareholders section of post-DeSPAC SEC registration form (S-1) |
“intendedTargetSpecialisedIndustries”:”id” | 105 | Intended Target Specialised Industry | Granular industry level (eg Electric Vehicle – Charging) that SPAC is targeting if disclosed in prospectus |
“intendedTargetSpecialisedIndustries”:”name” | “Software-Financial Technology” | Intended Target Specialised Industry | Granular industry level (eg Electric Vehicle – Charging) that SPAC is targeting if disclosed in prospectus |
“ipoAttorneys”:”id” | 603744 | Issuer Attorney Id | Id for Attorney on the SPAC |
“ipoAttorneys”:”attorneyRoleId” | 2 | Issuer Attorney Id | Id for Attorney on the SPAC |
“ipoAttorneys”:”issuerEntityName” | “Ropes & Gray LLP” | Issuer Attorney | Name of Attorney on the SPAC |
“ipoAttorneys”:”attorneyRoleCode” | “M” | Issuer Attorney Role | Role of the Attorney on the SPAC |
“ipoAttorneys”:”attorneyRoleName” | “Manager Attorney” | Issuer Attorney Role | Role of the Attorney on the SPAC |
“ipoAttorneys”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“ipoAuditors”:”id” | 546567 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“ipoAuditors”:”entityName” | 903 | Auditor | Auditor from IPO prospectus |
“ipoAuditors”:”spacEntryId” | “KPMG LLP” | SPAC Ref # | Primary Key for each SPAC record in the API |
“ipoFinancialSponsors”:”id” | 654472 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“ipoFinancialSponsors”:”entityName” | “Gores Group LLC” | Financial Sponsor | Name of any Financial Sponsor backer of the SPAC (may be different from SPAC Sponsor) |
“ipoFinancialSponsors”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“ipoLockups”:”id” | 473989 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“ipoLockups”:”expiryDate” | “6/8/2021 12:00:00 AM” | Lockup Expiration Date | IPO lock-up expiration date (first date in the event of a staggered lock-up) |
“ipoLockups”:”stakeholderEntityName” | “Directors of the Co” | Lockup Entity Name | Parties subject to the lock-up |
“ipoLockups”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“ipoSyndicate”:”ecmDealMasterId” | 489863 | ECM Ref # | Reference number linking API deal to Dealogic Cortex platform ECM ID |
“ipoSyndicate”:”companyMasterId” | “538281” | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“ipoSyndicate”:”companyParentMasterId” | “538112” | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“ipoSyndicate”:”parentName” | “Deutsche Bank AG” | Bank Parent | Name of the bank parent company in a syndicate role on the IPO |
“ipoSyndicate”:”parentRoleId” | 2 | Syndicate role of bank parent on the IPO (eg bookrunner) | Name of the bank parent company in a syndicate role on the IPO |
“ipoSyndicate”:”parentRoleCode” | “B” | Syndicate role of bank parent on the IPO (eg bookrunner) | Name of the bank parent company in a syndicate role on the IPO |
“ipoSyndicate”:”parentRoleName” | “Bookrunner” | Syndicate role of bank parent on the IPO (eg bookrunner) | Name of the bank parent company in a syndicate role on the IPO |
“ipoSyndicate”:”participationPercent” | 75 | Bank Participation % | % of shares/units underwritten by each bank on the IPO |
“ipoSyndicate”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“listings”:”listingId” | 11038205 | Listing Ref # | Reference # for the Listing |
“listings”:”instrumentId” | 16046345 | Instrument Ref # | Reference # for the Instrument |
“listings”:”isin” | “US38286R1059” | ISIN | International Securities Identification Number (ISIN) of specific listing |
“listings”:”sedol” | “BLR8X15” | SEDOL | Stock Exchange Daily Official List (SEDOL) number of specific listing |
“listings”:”ticker” | “GHVI” | Ticker | Ticker of specific listing |
“listings”:”type” | “Equity” | Instrument Type | Type of listing (Unit, Equity, Entitlement/Warrant) |
“listings”:”status” | “Active” | Listing Status | Status of listing (Active or Inactive) |
“listings”:”exchangeName” | “NASDAQ-US” | Exchange | Name of the stock exchange on which SPAC securities are listed |
“listings”:”exchangeNationality” | “United States” | Exchange | Name of the stock exchange on which SPAC securities are listed |
“listings”:”latestPriceDate” | “2021-04-29T16:04:35.163Z” | Listing Price Date | Date of latest closing price for listing |
“listings”:”latestClosingPrice” | 13.59 | Latest Listing Price | Closing price for listing |
“listings”:”latestVolume” | 334274 | Listing Volume | Latest daily trading volume for listing |
“listings”:”latestPriceCurrency” | “USD” | Listing Price Currency | Currency of listing |
“listings”:”firstDayPriceChangePercent” | 7.61 | First Day % Change from IPO | Percentage change of first day closing price for listing versus IPO offer price |
“listings”:”latestPriceChangePercent” | 14.3 | Latest % Change from IPO | Percentage change of latest closing price for listing versus IPO offer price |
“listings”:”yieldToLiquidationCurrent” | 0.393728218326092 | Yield to Liquidation | “” |
“listings”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“listings”:”ownershipData”:”id” | 1000021998 | Investor Name | Name of Investor for that Public SPAC security (Unit, Equity, Warrant) |
“listings”:”ownershipData”:”instrumentId” | 15254487 | Listing Ref # | Reference # for the Listing |
“listings”:”ownershipData”:”listingId” | 10390501 | Instrument Ref # | Reference # for the Instrument |
“listings”:”ownershipData”:”investorId” | 540917 | Exchange | Name of the stock exchange on which SPAC securities are listed |
“listings”:”ownershipData”:”investorName” | “Fortress Investment Group LLC” | Investor Name | Name of Investor for that Public SPAC security (Unit, Equity, Warrant) |
“listings”:”ownershipData”:”investorType” | “Hedge Fund Mgmt. Co.” | Investor Type | Type of Investor (Hedge Fund, Investment Advisor, etc.) |
“listings”:”ownershipData”:”investorAssetsUnderManagementUSD” | 2401010000 | Investor AssetsUnderManagement | Total assets under management for that Investor |
“listings”:”ownershipData”:”position” | 150000 | Position | Number of securities owned |
“listings”:”ownershipData”:”reportDate” | “2020-12-31T00:00:00Z” | ReportDate | Date when position was reported for |
“listings”:”ownershipData”:”positionChange” | -70000 | Position Change | Change in position since previous reported period |
“listings”:”ownershipData”:”spacEntryId” | 769 | SPAC Ref # | Primary Key for each SPAC record in the API |
“mnaDivestors”:”mnaMasterId” | 1248214 | M&A Ref # | Reference number linking API deal to Dealogic Cortex platform M&A ID |
“mnaDivestors”:”companyMasterId” | 664976 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“mnaDivestors”:”name” | “Platinum Equity LLC” | Divestor | Name of divestor of target company |
“mnaDivestors”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“mnaDivestors”:”nationality”:”id” | 21684 | Divestor Nationality | Nationality of divestor of target company |
“mnaDivestors”:”nationality”:”code” | “USWBU” | Divestor Nationality | Nationality of divestor of target company |
“mnaDivestors”:”nationality”:”name” | “Boulder” | Divestor Nationality | Nationality of divestor of target company |
“mnaDivestors”:”nationality”:”type” | “City” | Divestor Nationality | Nationality of divestor of target company |
“mnaDivestors”:”nationality”:”parentLocationId” | 5073 | Divestor Nationality | Nationality of divestor of target company |
“mnaEarnoutSponsorTriggers”:”id” | 1 | Earnout Sponsor Trigger Type | The type of earnout trigger (Share Price; Financial) |
“mnaEarnoutSponsorTriggers”:”type” | “Share” | Earnout Sponsor Trigger Type | The type of earnout trigger (Share Price; Financial) |
“mnaEarnoutSponsorTriggers”:”value” | 15 | Earnout Sponsor Trigger Value | Value of that earnout trigger (eg $15 share price) |
“mnaEarnoutSponsorTriggers”:”timeFrameInYears” | 5 | Earnout Sponsor Trigger TimeFrameInYears | Length of time earnout trigger is active |
“mnaEarnoutSponsorTriggers”:”details” | “Shares” | Earnout Sponsor Trigger Details | Specific details related to that earnout trigger |
“mnaEarnoutSponsorTriggers”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“mnaEarnoutTargetTriggers”:”id” | 1 | Earnout Target Trigger Type | The type of earnout trigger (Share Price; Financial) |
“mnaEarnoutTargetTriggers”:”type” | “Share” | Earnout Target Trigger Type | The type of earnout trigger (Share Price; Financial) |
“mnaEarnoutTargetTriggers”:”value” | 15 | Earnout Target Trigger Value | Value of that earnout trigger (eg $15 share price) |
“mnaEarnoutTargetTriggers”:”timeFrameInYears” | 5 | Earnout Target Trigger TimeFrameInYears | Length of time earnout trigger is active |
“mnaEarnoutTargetTriggers”:”details” | “Shares” | Earnout Target Trigger Details | Specific details related to that earnout trigger |
“mnaEarnoutTargetTriggers”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“mnaFinancialSponsors”:”id” | 654472 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“mnaFinancialSponsors”:”entityName” | “Gores Group LLC” | Financial Sponsor | Name of Financial Sponsor (Private Equity firm) linked to SPAC (Acquiror) or Target |
“mnaFinancialSponsors”:”side” | “A” | Financial Sponsor Role | Indicates if Financial Sponsor is on Target or Acquiror side |
“mnaFinancialSponsors”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“mnaInvPresFinancialsEBITDAs”:”year” | 2019 | EBITDA Year | Given year for actual or forward looking EBITDA number, taken from investor presentation |
“mnaInvPresFinancialsEBITDAs”:”type” | “Actual” | EBITDA Year | Indicator of whether EBITDA for a given year is an actual or forward looking estimated number |
“mnaInvPresFinancialsEBITDAs”:”value” | -27100000 | EBITDA Year | EBITDA value for a given year, taken from investor presentation |
“mnaInvPresFinancialsEBITDAs”:”currency” | “USD” | EBITDA Year | Currency of stated EBITDA |
“mnaInvPresFinancialsEBITDAs”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“mnaInvPresFinancialsRevenues”:”year” | 2022 | Revenue Year | Given year for actual or forward looking revenue number, taken from investor presentation |
“mnaInvPresFinancialsRevenues”:”type” | “Estimate” | Revenue Year | Indicator of whether Revenue for a given year is an actual or forward looking estimated number |
“mnaInvPresFinancialsRevenues”:”value” | 121200000 | Revenue Year | Revenue value for a given year, taken from investor presentation |
“mnaInvPresFinancialsRevenues”:”currency” | “USD” | Revenue Year | Currency of stated revenue |
“mnaInvPresFinancialsRevenues”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“mnaTargetAdvisors”:”mnaId” | 1248214 | M&A Ref # | Reference number linking API deal to Dealogic Cortex platform M&A ID |
“mnaTargetAdvisors”:”companyId” | 664976 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“mnaTargetAdvisors”:”companyParentId” | 3 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“mnaTargetAdvisors”:”parentName” | 540420 | Target Advisor Parent | Parent of the financial advisor to the target |
“mnaTargetAdvisors”:”advisorRoleId” | “Credit Suisse Group AG” | Target Advisor Role | Role of named advisor to the target (eg Fairness Opinion) |
“mnaTargetAdvisors”:”advisorRoleCode” | “ADV” | Target Advisor Role | Role of named advisor to the target (eg Fairness Opinion) |
“mnaTargetAdvisors”:”advisorRoleName” | “Financial Advisor” | Target Advisor Role | Role of named advisor to the target (eg Fairness Opinion) |
“mnaTargetAdvisors”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“mnaSponsorForfeitTypes”:”id” | “1” | Sponsor Forfeit Type Id | Id for the Sponsor Forfeit Type |
“mnaSponsorForfeitTypes”:”name” | “Unconditional” | Sponsor Forfeit Type | Type of sponsor forfeit (eg Unconditional, Redemption-linked) |
“mnaSponsorForfeitTypes”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“relatedEcmDeals”:”id” | 495914 | Analytics Deal # | Reference number linking API deal to Dealogic Cortex platform PIPE ID |
“relatedEcmDeals”:”filingDate” | “2/8/2021 12:00:00 AM” | Filing Date | Date PIPE announced |
“relatedEcmDeals”:”pricingDate” | “2/8/2021 12:00:00 AM” | Pricing Date | Date PIPE completed |
“relatedEcmDeals”:”subTypeCode” | “FO-PIPE” | Deal Sub Type | Type of PIPE (FO/Equity or Convertible) |
“relatedEcmDeals”:”subTypeName” | “FO – PIPE” | Deal Sub Type | Type of PIPE (FO/Equity or Convertible) |
“relatedEcmDeals”:”securityTypeCode” | “CSO” | Deal Type of Security | Type of PIPE Securities (eg Shares, Units) |
“relatedEcmDeals”:”securityTypeName” | “Common Stock/Ordinary Shares” | Deal Type of Security | Type of PIPE Securities (eg Shares, Units) |
“relatedEcmDeals”:”currencyCode” | “USD” | Currency | Currency of PIPE |
“relatedEcmDeals”:”currencyName” | “US Dollar” | Currency | Currency of PIPE |
“relatedEcmDeals”:”totalSharesOfferedExcludingOverallotment” | 29500000 | Total Shares Incl Non-Deal Excl Ovl | Final number of shares in PIPE |
“relatedEcmDeals”:”totalOverallotmentSharesExercised” | 2950000 | Ovl Exercised (Shares) | Number of shares exercised in any overallotment linked to PIPE |
“relatedEcmDeals”:”offerPriceUSD” | 10 | Offer Price | Offer Price of PIPE in USD |
“relatedEcmDeals”:”totalValueExcludingOverallotmentUSD” | 295000000 | Total Value Incl Non-Deal Excl Ovl USD (m) | Total value of shares/units sold in PIPE excluding the overallotment |
“relatedEcmDeals”:”overallotmentValueExercisedUSD” | 2950000 | Ovl Value USD | Total Value of overallotment shares/units exercised |
“relatedEcmDeals”:”syndicate”:”ecmDealMasterId” | 495914 | Analytics Deal # | Reference number linking API deal to Dealogic Cortex platform PIPE ID |
“relatedEcmDeals”:”syndicate”:”companyMasterId” | 538281 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“relatedEcmDeals”:”syndicate”:”companyParentMasterId” | 538112 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“relatedEcmDeals”:”syndicate”:”parentName” | “Deutsche Bank AG” | Bank Parent | Name of Placement Agent(s) on PIPE |
“relatedEcmDeals”:”syndicate”:”parentRoleId” | 2 | Bank Parent | Name of Placement Agent(s) on PIPE |
“relatedEcmDeals”:”syndicate”:”parentRoleCode” | “B” | Bank Parent Role | Role of Agents on PIPE |
“relatedEcmDeals”:”syndicate”:”parentRoleName” | “Bookrunner” | Bank Parent Role | Role of Agents on PIPE |
“relatedEcmDeals”:”syndicate”:”participationPercent” | 0.75 | Bank Participation | Participatioin % for the Bank on the PIPE |
“relatedEcmDeals”:”namedPIPEInvestors”:”name” | “BlackRock Inc” | Named PIPE Investors | PIPE investors named in press release/filing |
“relatedEcmDeals”:”spacEntryId” | 903 | SPAC Ref # | Primary Key for each SPAC record in the API |
“companyCornerstoneInvestors”:”id” | 585167 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“companyCornerstoneInvestors”:”name” | “BlackRock Inc” | Cornerstone Investor Name | Names of Anchor/Cornerstone Investors in SPAC IPO |
“companyCornerstoneInvestors”:”spacEntryId” | 903 | Cornerstone Investor Name | Names of Anchor/Cornerstone Investors in SPAC IPO |
“companyIncorporationLocation”:”id” | 21684 | Company Nationality of Incorporation | SPAC nationality based on legal incorporation |
“companyIncorporationLocation”:”code” | “USWBU” | Company Nationality of Incorporation | SPAC nationality based on legal incorporation |
“companyIncorporationLocation”:”name” | “Boulder” | Company Nationality of Incorporation | SPAC nationality based on legal incorporation |
“companyIncorporationLocation”:”type” | “City” | Company Nationality of Incorporation | SPAC nationality based on legal incorporation |
“companyIncorporationLocation”:”parentLocationId” | 5073 | Company Nationality of Incorporation | SPAC nationality based on legal incorporation |
“mnaTargetNationality”:”id” | 203 | Target Nationality (Primary) | Nationality of target based on operating/management location |
“mnaTargetNationality”:”code” | “USA” | Target Nationality (Primary) | Nationality of target based on operating/management location |
“mnaTargetNationality”:”name” | “United States” | Target Nationality (Primary) | Nationality of target based on operating/management location |
“mnaTargetNationality”:”type” | “Country” | Target Nationality (Primary) | Nationality of target based on operating/management location |
“mnaTargetNationality”:”parentLocationId” | 5 | Target Nationality (Primary) | Nationality of target based on operating/management location |
“intendedTargetIndustries”:”id” | 42 | Intended Target Industries | Industries the SPAC is targeting |
“intendedTargetIndustries”:”code” | “COSO” | Intended Target Industries | Industries the SPAC is targeting |
“intendedTargetIndustries”:”name” | “Computers & Electronics-Software” | Intended Target Industries | Industries the SPAC is targeting |
“intendedTargetIndustries”:”groupHeadIndustryId” | 34 | Intended Target Industries | Industries the SPAC is targeting |
“intendedTargetLocations”:”id” | 203 | Intended Target Locations | Locations the SPAC is targeting |
“intendedTargetLocations”:”code” | “USA” | Intended Target Locations | Locations the SPAC is targeting |
“intendedTargetLocations”:”name” | “United States” | Intended Target Locations | Locations the SPAC is targeting |
“intendedTargetLocations”:”type” | “Country” | Intended Target Locations | Locations the SPAC is targeting |
“intendedTargetLocations”:”parentLocationId” | 5 | Intended Target Locations | Locations the SPAC is targeting |
“mnaAcquirorAdvisors”:”mnaId” | 1248214 | M&A Ref # | Reference number linking API deal to Dealogic Cortex platform M&A ID |
“mnaAcquirorAdvisors”:”companyId” | 538281 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“mnaAcquirorAdvisors”:”companyParentId” | 3 | Company Ref # | Reference number linking API deal to Dealogic Cortex platform Company ID |
“mnaAcquirorAdvisors”:”parentName” | 538112 | Acquiror Advisor Parent | Name of the bank parent company acting as an advisor to the SPAC |
“mnaAcquirorAdvisors”:”advisorRoleId” | “Deutsche Bank AG” | Acquiror Advisor Role | Role of named advisor to the acquiror (eg Fairness Opinion) |
“mnaAcquirorAdvisors”:”advisorRoleCode” | “ADV” | Acquiror Advisor Role | Role of named advisor to the acquiror (eg Fairness Opinion) |
“mnaAcquirorAdvisors”:”advisorRoleName” | “Financial Advisor” | Acquiror Advisor Role | Role of named advisor to the acquiror (eg Fairness Opinion) |
“mnaAcquirorAdvisors”:”spacEntryId” | 903 | Acquiror Advisor Role | Role of named advisor to the acquiror (eg Fairness Opinion) |
“intendedTargetSpecialisedIndustries”:”id” | 105 | Intended Target Specialised Industry | Granular industry level (eg Electric Vehicle – Charging) that SPAC is targeting if disclosed in prospectus |
“intendedTargetSpecialisedIndustries”:”name” | “Software-Financial Technology” | Intended Target Specialised Industry | Granular industry level (eg Electric Vehicle – Charging) that SPAC is targeting if disclosed in prospectus |