v3.25.4
Statements of Cash Flows - USD ($)
2 Months Ended 12 Months Ended
Dec. 31, 2024
Dec. 31, 2025
Cash flows from operating activities    
Net income (loss) $ (14,124) $ 1,257,633
Adjustments to reconcile net income (loss) to net cash used in operating activities:    
Interest income earned in trust account 0 (1,858,017)
Changes in operating assets and liabilities:    
Decrease (Increase) in prepaid expenses (15,000) 6,000
Increase in accrued expenses 0 75,000
Net cash used in operating activities (29,124) (519,384)
Cash flows from investing activities    
Cash deposited in trust account 0 (69,000,000)
Net cash used in investing activities 0 (69,000,000)
Cash flows from financing activities    
Proceeds from issuance of ordinary shares 25,000 0
Proceeds from promissory note payable to related party 300,000 0
Proceeds from issuance of public units 0 69,000,000
Proceeds from issuance of private units 0 2,800,000
Payment of underwriting fee 0 (1,035,000)
Payment of offering costs (195,000) (289,900)
Repayment of the principal of promissory note to related party 0 (300,000)
Net cash provided by financing activities 130,000 70,175,100
Net increase in cash 100,876 655,716
Cash at beginning of period 0 100,876
Cash at end of period 100,876 756,592
Non-cash financing activities    
Deferred underwriting commission charged to additional paid in capital 0 2,415,000
Initial value of public shares subject to possible redemption 0 66,992,100
Allocation of offering cost related to public shares subject to possible redemption 0 (3,820,394)
Increases of carrying value of redeemable public shares $ 0 $ 7,686,311