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Restatement of Previously Issued Financial Statements (Details) - Schedule of Unaudited Condensed Consolidated Statement of Cash Flows - USD ($)
3 Months Ended 4 Months Ended 6 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2023
Jun. 30, 2023
Mar. 31, 2023
Jun. 30, 2023
Jun. 30, 2023
Sep. 30, 2023
Dec. 31, 2023
Dec. 31, 2022
Schedule of Unaudited Condensed Consolidated Statement of Cash Flows [Line Items]                
Interest expense – debt discount $ 279,013 $ 106,416 $ 28,515   $ 134,931 $ 413,944 $ 759,768
Change in fair value of subscription liability          
Net income (loss) (338,050) 2,552,400 (420,047) $ 2,552,400 2,132,353 1,794,302 (34,727) 10,578,125
Issuance of subscription shares     256,635   423,600 914,776    
Cash Flows from Operating Activities:                
Interest earned on investments held in Trust Account (629,310) (626,320) (3,088,967)   (3,715,287) (4,344,597) (4,758,906) (4,679,040)
Changes in fair value of warrant liabilities 334,975 (1,978,245) 2,022,486   44,241 379,216 1,264,054 (8,973,522)
Reduction of deferred underwriter fees (328,474)   (328,474) (328,474) (328,474)
Issuance of Forward Purchase Agreement 308,114   308,114 308,114 308,114
Change in fair value of Forward Purchase Agreement (633,205) 325,091   (308,114) (308,114) (308,114)
Prepaid assets     (59,349)   (9,254) 16,081 (7,222) 348,794
Due to related party     30,000   96,826 23,966    
Accounts payable and accrued expenses     944,041   1,213,199 1,335,939 1,946,574 1,584,820
Net cash used in operating activities     (238,590)   (431,465) (709,623) (1,062,642) (1,020,823)
Cash flows from Investing Activities:                
Extension payment deposit in Trust     (480,000)   (640,000) (1,095,000) (1,140,000)
Cash withdrawn for redemptions     273,112,312   273,112,312 294,254,572 294,254,572
Net cash provided by investing activities     272,632,312   272,472,312 293,159,572 293,114,572
Cash flows from Financing Activities:                
Proceeds from the subscription liability     480,000   755,944 1,560,944 1,960,944
Redemption from Trust Account for ordinary shares     (273,112,312)   (273,112,312) (294,254,572) (294,254,572)
Proceeds from note payable-related party     250,000   250,000 250,000 250,000 1,000,000
Net cash (used in) provided by financing activities     (272,382,312)   (272,106,368) (292,443,628) (292,043,628) 1,000,000
Net Change in Cash     11,410   (65,521) 6,321 8,302 (20,823)
Cash – Beginning of period 20,880 97,811 86,401   86,401 86,401 86,401 107,224
Cash – End of period 92,722 20,880 97,811 20,880 20,880 92,722 94,703 86,401
Accretion of Class A ordinary shares subject to possible redemption 1,084,311 786,320 3,568,966   4,355,287 5,439,596   4,695,302
Issuance of subscription shares         423,601 914,776 1,153,306
As Reported [Member]                
Schedule of Unaudited Condensed Consolidated Statement of Cash Flows [Line Items]                
Interest expense – debt discount 2,467,496 1,045,564 302,469   1,348,033 3,815,529    
Change in fair value of subscription liability     18,277   (2,636,955) (557,645)    
Net income (loss) (4,605,843) 4,268,484 (712,278) 4,268,484 3,556,206 (1,049,638)    
Issuance of subscription shares          
Cash Flows from Operating Activities:                
Interest earned on investments held in Trust Account (629,310) (626,320) (3,088,967)   (3,715,287) (4,344,597)    
Changes in fair value of warrant liabilities 334,975 (1,978,245) 2,022,486   44,241 379,216    
Reduction of deferred underwriter fees (328,474)   (328,474) (328,474)    
Issuance of Forward Purchase Agreement 308,114   308,114 308,114    
Change in fair value of Forward Purchase Agreement (633,205) 325,091   (308,114) (308,114)    
Prepaid assets     (59,349)   (9,254) 16,081    
Due to related party     30,000   96,826 23,966    
Accounts payable and accrued expenses     944,041   1,213,199 1,335,939    
Net cash used in operating activities     (238,590)   (431,465) (709,623)    
Cash flows from Investing Activities:                
Extension payment deposit in Trust     (480,000)   (640,000) (1,095,000)    
Cash withdrawn for redemptions     273,112,312   273,112,312 294,254,572    
Net cash provided by investing activities     272,632,312   272,472,312 293,159,572    
Cash flows from Financing Activities:                
Proceeds from the subscription liability     480,000   755,944 1,560,944    
Redemption from Trust Account for ordinary shares     (273,112,312)   (273,112,312) (294,254,572)    
Proceeds from note payable-related party     250,000   250,000 250,000    
Net cash (used in) provided by financing activities     (272,382,312)   (272,106,368) (292,443,628)    
Net Change in Cash     11,410   (65,521) 6,321    
Cash – Beginning of period 20,880 97,811 86,401   86,401 86,401 $ 86,401  
Cash – End of period 92,722 20,880 97,811 20,880 20,880 92,722   $ 86,401
Accretion of Class A ordinary shares subject to possible redemption 1,084,311 786,320 3,568,966   4,355,287 5,439,596    
Issuance of subscription shares            
Revision of Prior Period, Error Correction, Adjustment [Member]                
Schedule of Unaudited Condensed Consolidated Statement of Cash Flows [Line Items]                
Interest expense – debt discount (2,188,483) (939,148) (273,954)   (1,213,102) (3,401,585)    
Change in fair value of subscription liability     (18,277)   2,636,955 557,645    
Net income (loss) $ 4,267,793 $ (1,716,084) 292,231 $ (1,716,084) (1,423,853) 2,843,940    
Issuance of subscription shares     $ 256,635   $ 423,600 $ 914,776