v3.25.1
Description of Organization and Business Operations and Liquidity (Details) - USD ($)
6 Months Ended 12 Months Ended
Jun. 28, 2024
Sep. 29, 2023
Apr. 10, 2023
Mar. 24, 2023
Aug. 16, 2022
Jan. 14, 2022
Dec. 30, 2021
Dec. 27, 2021
Jun. 30, 2024
Sep. 30, 2023
Dec. 31, 2024
Dec. 31, 2023
Aug. 29, 2023
Aug. 01, 2023
Jun. 29, 2023
May 26, 2023
Apr. 27, 2023
Mar. 28, 2023
Dec. 23, 2022
Sep. 27, 2022
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Incorporated date                     May 27, 2021                  
Units right shares (in Shares)             1                          
Shares of public rights (in Shares)             1                          
Underwriters option period                     45 days                  
Sale of stock units (in Shares)                     22,500,000                  
Deferred underwriting fees payable                     $ 2,704,690 $ 2,704,690                
Share price (in Dollars per share)                     $ 10                  
Investment maturity days                     185 days                  
Net tangible assets                     $ 5,000,001                  
Percentage of public share sold in IPO                     20.00%                  
Percentage of obligation to redeem public shares                     100.00%                  
Dissolution expenses                     $ 100,000                  
Deposit into trust account                                     $ 772,769 $ 772,769
Units price per share (in Dollars per share)                     $ 10                  
Cash redemption price (in Dollars per share)                     $ 11.22 $ 10.98                
Redeem ordinary shares (in Shares)                     1,125,000                  
U.S. federal tax rate                     21.00% 21.00%                
Percentage of excise tax                     1.00%                  
Percentage of Additional Interest and Penalties                 10.00%                      
Percentage of underpayment penalty                 5.00%                      
Total liability percentage                 25.00%                      
Interest and penalties                     $ 13,509                
Percentage of shares redeemed                     1.00%                  
Excise tax liability                     $ 719,090 583,520                
Cash                     1,185 $ 6,760                
Working capital deficit                     $ 8,210,221                  
U.S. [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
U.S. federal tax rate         1.00%                              
Trust Account [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Share price (in Dollars per share)                     $ 10                  
Deposit into trust account       $ 80,400,000                                
Common Stock [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Units share of public shares (in Shares)             1                          
Exercised shares (in Shares)       4,097,964   224,328                            
Cash redemption price (in Dollars per share)       $ 10.4                                
Aggregate redemption amount       $ 42,600,000                                
Redeemed shares (in Shares)                     1,090,062 5,554,835                
Redeemed shares, value                     $ 12,219,791 $ 58,351,987                
Common Stock [Member] | Trust Account [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Deposit into trust account       $ 37,800,000                                
Sponsor [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Gross proceeds of private placement                     $ 3,475,000                  
Investor [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Consummated units (in Shares)                     337,500                  
Business Combination [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Deferred underwriting fees payable                     $ 2,704,690                  
Percentage of aggregate fair market value                     80.00%                  
Percentage of outstanding voting securities                     50.00%                  
Deposit into trust account                         $ 125,000 $ 125,000 $ 125,000 $ 125,000 $ 125,000 $ 125,000    
March Extensions [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Exercised shares (in Shares)       4,097,964                                
Exercised option amount     $ 42,600,000                                  
Extension payment                   $ 125,000                    
Aggregate redemption amount       $ 42,600,000                                
September Extensions [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Exercised shares (in Shares)   1,456,871                                    
Cash redemption price (in Dollars per share)   $ 10.79                                    
Aggregate redemption amount   $ 15,700,000                                    
June Extension [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Exercised shares (in Shares) 1,090,062                                      
Deposit into trust account $ 12,060,000.00                                      
Cash redemption price (in Dollars per share) $ 11.21                                      
Aggregate redemption amount $ 12,220,000                                      
June Extension [Member] | Trust Account [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Deposit into trust account $ 24,280,000                                      
Initial Public Offering [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Consummated units (in Shares)             7,500,000                          
Proceeds from IPO             $ 75,000,000                          
Sale of stock units (in Shares)                     7,500,000                  
Sale of unit, pirce per share (in Dollars per share)                     $ 10                  
Exercised shares (in Shares)           227,686                            
Exercised option amount                     $ 4,788,446                  
Underwriting fees                     1,545,537                  
Other costs                     538,219                  
Net proceeds of sale units                     $ 75,000,000                  
Share price (in Dollars per share)                     $ 10                  
Initial Public Offering [Member] | Business Combination [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Price per share (in Dollars per share)             $ 10                          
Private Placement Units [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Gross proceeds of private placement           $ 45,540   $ 3,475,000                        
Sale of stock units (in Shares)           4,554                            
Sale of unit, pirce per share (in Dollars per share)           $ 10   $ 10                        
Private Placement Units [Member] | Sponsor [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Consummated units (in Shares)                     347,500                  
Price per share (in Dollars per share)                     $ 10                  
Over-allotment Units [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Consummated units (in Shares)           227,686         1,125,000                  
Price per share (in Dollars per share)           $ 10                            
Proceeds from IPO           $ 2,276,860                            
Underwriters option period                     45 days                  
Option to purchase units (in Shares)           227,686         1,125,000                  
Gross proceeds from option exercised           $ 2,276,860                            
Over-allotment Units [Member] | Trust Account [Member]                                        
Description of Organization and Business Operations and Liquidity [Line Items]                                        
Proceeds from IPO           $ 77,276,860