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Statements of Cash Flows - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Cash Flows from Operating Activities:    
Net loss $ (32,180,557) $ (2,590,948)
Adjustments to reconcile net loss to net cash used in operating activities:    
Interest income from Trust Account (4,415,456) (3,989,061)
Change in fair value of convertible promissory notes – related parties 3,698,394 170,741
Change in fair value of warrant liabilities 27,064,500 (498,000)
Changes in current assets and current liabilities:    
Prepaid expenses (8,389) 512,296
Accounts payable and accrued expenses 2,328,026 4,350,391
Income taxes payable (330,151) 330,151
Net cash used in operating activities (3,843,633) (1,714,430)
Cash Flows from Investing Activities:    
Cash withdrawn from Trust Account in connection with redemptions 230,129,156 0
Cash withdrawn from Trust Account to pay taxes 1,446,193 786,918
Net cash provided by investing activities 231,575,349 786,918
Cash Flows from Financing Activities:    
Payments for redemptions of Class A common stock (230,129,156) 0
Proceeds from convertible promissory notes – related parties 1,080,000 0
Proceeds from promissory notes - related party 1,485,000 705,000
Net cash (used in) provided by financing activities (227,564,156) 705,000
Net Change in Cash 167,560 (222,512)
Cash — Beginning of period 100,256 322,768
Cash — End of period 267,816 100,256
Supplemental disclosure of non-cash investing and financing activities:    
Conversion of Promissory Notes to Convertible Promissory Notes 726,370 0
Remeasurement of Class A common stock subject to possible redemption 3,301,702 2,847,008
Excise tax payable as a result of redemptions of Class A common stock 2,308,378 0
Initial measurement of fair value of Convertible Promissory Notes (533,200) (52,126)
Supplemental Disclosure of Cash Flow Information:    
Payment of cash taxes $ 1,246,194 $ 426,918