v3.24.3
SCHEDULE OF EARNINGS PER SHARE BASIC AND DILUTED (Details) - USD ($)
1 Months Ended 3 Months Ended 7 Months Ended 9 Months Ended 10 Months Ended
Mar. 31, 2023
Sep. 30, 2024
Jun. 30, 2024
Mar. 31, 2024
Sep. 30, 2023
Sep. 30, 2023
Sep. 30, 2024
Dec. 31, 2023
Interest earned on investment held in trust account   $ 952,787     $ 760,871 $ 760,871 $ 2,818,129 $ 1,729,358
Accretion of temporary equity to redemption value       7,520,591 7,520,591 7,591,500
Allocation of net income/(loss) $ (3,105) $ 825,358 $ 816,754 $ 786,362 $ 573,444 $ 570,338 $ 2,428,474 $ 1,484,790
Redeemable Shares [Member]                
Weighted average shares outstanding - basic   6,900,000     5,885,870 2,506,944 6,900,000 3,819,156
Weighted average shares outstanding - diluted   6,900,000     5,885,870 2,506,944 6,900,000 3,819,156
Ownership percentage   75.00%     73.00% 55.00% 75.00% 65.00%
Allocation of net loss including accretion of temporary equity   $ (95,921)     $ (5,601,092) $ (4,267,179) $ (293,309) $ (5,059,453)
Interest earned on investment held in trust account   952,787     760,871 760,871 2,818,129  
Accretion of temporary equity to redemption value       7,520,591 7,520,591 $ 7,591,500
Allocation of net income/(loss)   $ 856,866     $ 2,680,370 $ 4,014,283 $ 2,524,820  
Basic net income/(loss) per share   $ 0.12     $ 0.46 $ 1.60 $ 0.37 $ 1.12
Diluted net income/(loss) per share   $ 0.12     $ 0.46 $ 1.60 $ 0.37 $ 1.12
Income earned on Trust Account               $ 1,729,358
Allocation of net income/(loss)               $ 4,261,405
Non Redeemable Shares [Member]                
Weighted average shares outstanding - basic   2,266,500     2,214,049 2,023,299 2,266,500 2,095,943
Weighted average shares outstanding - diluted   2,266,500     2,214,049 2,023,299 2,266,500 2,095,943
Ownership percentage   25.00%     27.00% 45.00% 25.00% 35.00%
Allocation of net loss including accretion of temporary equity   $ (31,508)     $ (2,106,926) $ (3,443,945) $ (96,346) $ (2,776,615)
Interest earned on investment held in trust account        
Accretion of temporary equity to redemption value      
Allocation of net income/(loss)   $ (31,508)     $ (2,106,926) $ (3,443,945) $ (96,346)  
Basic net income/(loss) per share   $ (0.01)     $ (0.95) $ (1.70) $ (0.04) $ (1.32)
Diluted net income/(loss) per share   $ (0.01)     $ (0.95) $ (1.70) $ (0.04) $ (1.32)
Income earned on Trust Account              
Allocation of net income/(loss)               $ (2,776,615)