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CONDENSED BALANCE SHEETS - USD ($)
Jun. 30, 2025
Dec. 31, 2024
Dec. 31, 2023
Current assets:      
Cash $ 137,896 $ 975,319 $ 1,905,123
Prepaid expenses 248,745 125,663 509,950
Other Receivables 2,441,582 0  
Total current assets 2,828,223 1,100,982 2,415,073
Investments held in Trust Account 558,149,739 550,800,038 523,038,352
Total assets 560,977,962 551,901,020 525,453,425
Current liabilities:      
Accrued expenses 9,394,513 690,348 271,633
Due to related party 52,582 50,221 7,500
Extension note 1,480,791 0  
Working capital loan 1,232,707 0  
Total current liabilities 12,160,593 740,569 279,133
Deferred financing obligation 1,480,792 0  
Overfunding loans 5,000,000 5,000,000 5,000,000
Deferred underwriting and advisory fees 8,359,410 17,500,000 17,500,000
Total liabilities 27,000,795 23,240,569 22,779,133
Commitments and contingencies  
Class A ordinary shares subject to possible redemption 558,049,739 550,700,038 522,938,352
Shareholders' deficit      
Preference shares, $0.0001 par value; 99,990,000 shares authorized; none issued or outstanding 0 0 0
Accumulated deficit (24,073,822) (22,040,837) (20,265,310)
Total shareholders' deficit (24,072,572) (22,039,587) (20,264,060) [1]
Total liabilities and shareholders' deficit 560,977,962 551,901,020 525,453,425
Common Class A      
Shareholders' deficit      
Ordinary shares 1,250 0 0
Common Class B      
Shareholders' deficit      
Ordinary shares $ 0 $ 1,250 $ 1,250
[1] On April 25, 2023, the Company consummated the sale of Over-Allotment Units pursuant to the underwriters’ partial exercise of their over-allotment option. All share amounts have been retroactively restated to reflect the share surrender and share recapitalization events and the share forfeitures (see Note 4).