XML 39 R25.htm IDEA: XBRL DOCUMENT v3.26.1
Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2025
Fair Value Measurements  
Schedule of fair Value of assets and liabilities on a Recurring Basis

  ​ ​ ​

(Level 1)

  ​ ​ ​

(Level 2)

  ​ ​ ​

(Level 3)

As of December 31, 2025

 

  ​

 

  ​

 

  ​

Assets:

 

  ​

 

  ​

 

  ​

Cash held in Trust Account

$

258,796,563

$

$

Schedule of information regarding market assumptions used in the valuation of the Public Warrants

  ​ ​ ​

June 11, 2025

 

Implied ordinary share price

$

9.87

Exercise price

$

11.50

Simulation term (years)

 

6.50

Risk-free rate

 

4.16

%

Selected volatility

 

2.70

%

Calculated value per warrant

$

0.26

Market adjustment

 

23.53

%