S-K 1602(c) Dilution
|
Sep. 05, 2025
USD ($)
$ / shares
shares
|
Over-allotment Option Not Exercised [Member] |
|
Adjusted Net Tangible Book Value Per Share with Sources of Dilution [Line Items] |
|
Registered Offering Price per Share | $ / shares |
$ 10
|
Net Tangible Book Value Per Share [Line Items] |
|
Net Tangible Book Value Amount of Dilution, Per Share | $ / shares |
2.75
|
Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 7.25
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value |
$ (42,946)
|
Net Tangible Book Value Amount of Dilution |
50,640
|
Net Tangible Book Value Adjusted |
$ 144,924,494
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
5,750,000
|
Over-allotment Option Not Exercised [Member] | Shareholder Redemptions [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Adjusted | shares |
20,000,000
|
Over-allotment Option Not Exercised [Member] | Public Offering And Private Placement Shares Offered [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ 151,105,000
|
Over-allotment Option Not Exercised [Member] | Offering Costs Accrued Or Paid In Advance [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
(6,000,000)
|
Over-allotment Option Not Exercised [Member] | Over Allotment Liability [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (188,200)
|
Over-allotment Option Not Exercised [Member] | Ordinary Shares Forfeited [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
(750,000)
|
Over-allotment Option Not Exercised [Member] | Ordinary Offered And Sale Of Private Placement Warrants [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
15,000,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 100 Percent of Maximum [Member] |
|
Adjusted Net Tangible Book Value Per Share with Sources of Dilution [Line Items] |
|
Registered Offering Price per Share | $ / shares |
$ 10
|
Net Tangible Book Value Per Share [Line Items] |
|
Net Tangible Book Value Amount of Dilution, Per Share | $ / shares |
9.82
|
Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 0.18
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value |
$ (42,946)
|
Net Tangible Book Value Amount of Dilution |
50,640
|
Net Tangible Book Value Adjusted |
$ 924,494
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
5,750,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 100 Percent of Maximum [Member] | Shareholder Redemptions [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
(15,000,000)
|
Number of Shares Used to Determine Net Tangible Book Value Adjusted | shares |
5,000,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 100 Percent of Maximum [Member] | Underwriting Fees [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (150,000,000)
|
Over-allotment Option Not Exercised [Member] | Redemption at 100 Percent of Maximum [Member] | Public Offering And Private Placement Shares Offered [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
151,105,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 100 Percent of Maximum [Member] | Over Allotment Liability [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (188,200)
|
Over-allotment Option Not Exercised [Member] | Redemption at 100 Percent of Maximum [Member] | Ordinary Shares Forfeited [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
(750,000)
|
Over-allotment Option Not Exercised [Member] | Redemption at 100 Percent of Maximum [Member] | Ordinary Offered And Sale Of Private Placement Warrants [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
15,000,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 50 Percent of Maximum [Member] |
|
Adjusted Net Tangible Book Value Per Share with Sources of Dilution [Line Items] |
|
Registered Offering Price per Share | $ / shares |
$ 10
|
Net Tangible Book Value Per Share [Line Items] |
|
Net Tangible Book Value Amount of Dilution, Per Share | $ / shares |
4.17
|
Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 5.83
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value |
$ (42,946)
|
Net Tangible Book Value Amount of Dilution |
50,640
|
Net Tangible Book Value Adjusted |
$ 72,924,494
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
5,750,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Shareholder Redemptions [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
(7,500,000)
|
Number of Shares Used to Determine Net Tangible Book Value Adjusted | shares |
12,500,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Underwriting Fees [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (75,000,000)
|
Over-allotment Option Not Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Public Offering And Private Placement Shares Offered [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
151,105,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Offering Costs Accrued Or Paid In Advance [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
(3,000,000)
|
Over-allotment Option Not Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Over Allotment Liability [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (188,200)
|
Over-allotment Option Not Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Ordinary Shares Forfeited [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
(750,000)
|
Over-allotment Option Not Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Ordinary Offered And Sale Of Private Placement Warrants [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
15,000,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 75 Percent of Maximum [Member] |
|
Adjusted Net Tangible Book Value Per Share with Sources of Dilution [Line Items] |
|
Registered Offering Price per Share | $ / shares |
$ 10
|
Net Tangible Book Value Per Share [Line Items] |
|
Net Tangible Book Value Amount of Dilution, Per Share | $ / shares |
5.78
|
Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 4.22
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value |
$ (42,946)
|
Net Tangible Book Value Amount of Dilution |
50,640
|
Net Tangible Book Value Adjusted |
$ 36,924,494
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
5,750,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Shareholder Redemptions [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
(11,250,000)
|
Number of Shares Used to Determine Net Tangible Book Value Adjusted | shares |
8,750,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Underwriting Fees [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (112,500,000)
|
Over-allotment Option Not Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Public Offering And Private Placement Shares Offered [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
151,105,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Offering Costs Accrued Or Paid In Advance [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
(1,500,000)
|
Over-allotment Option Not Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Over Allotment Liability [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (188,200)
|
Over-allotment Option Not Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Ordinary Shares Forfeited [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
(750,000)
|
Over-allotment Option Not Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Ordinary Offered And Sale Of Private Placement Warrants [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
15,000,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 25 Percent of Maximum [Member] |
|
Adjusted Net Tangible Book Value Per Share with Sources of Dilution [Line Items] |
|
Registered Offering Price per Share | $ / shares |
$ 10
|
Net Tangible Book Value Per Share [Line Items] |
|
Net Tangible Book Value Amount of Dilution, Per Share | $ / shares |
3.3
|
Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 6.7
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value |
$ (42,946)
|
Net Tangible Book Value Amount of Dilution |
50,640
|
Net Tangible Book Value Adjusted |
$ 108,924,494
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
5,750,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Shareholder Redemptions [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
(3,750,000)
|
Number of Shares Used to Determine Net Tangible Book Value Adjusted | shares |
16,250,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Underwriting Fees [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (37,500,000)
|
Over-allotment Option Not Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Public Offering And Private Placement Shares Offered [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
151,105,000
|
Over-allotment Option Not Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Offering Costs Accrued Or Paid In Advance [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
(4,500,000)
|
Over-allotment Option Not Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Over Allotment Liability [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (188,200)
|
Over-allotment Option Not Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Ordinary Shares Forfeited [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
(750,000)
|
Over-allotment Option Not Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Ordinary Offered And Sale Of Private Placement Warrants [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
15,000,000
|
Over-allotment Option Exercised [Member] |
|
Adjusted Net Tangible Book Value Per Share with Sources of Dilution [Line Items] |
|
Registered Offering Price per Share | $ / shares |
$ 10
|
Net Tangible Book Value Per Share [Line Items] |
|
Net Tangible Book Value Amount of Dilution, Per Share | $ / shares |
2.75
|
Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 7.25
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value |
$ (42,946)
|
Net Tangible Book Value Amount of Dilution |
50,640
|
Net Tangible Book Value Adjusted |
$ 166,712,694
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
5,750,000
|
Over-allotment Option Exercised [Member] | Shareholder Redemptions [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Adjusted | shares |
23,000,000
|
Over-allotment Option Exercised [Member] | Public Offering And Private Placement Shares Offered [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ 173,605,000
|
Over-allotment Option Exercised [Member] | Offering Costs Accrued Or Paid In Advance [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (6,900,000)
|
Over-allotment Option Exercised [Member] | Ordinary Offered And Sale Of Private Placement Warrants [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
17,250,000
|
Over-allotment Option Exercised [Member] | Redemption at 100 Percent of Maximum [Member] |
|
Adjusted Net Tangible Book Value Per Share with Sources of Dilution [Line Items] |
|
Registered Offering Price per Share | $ / shares |
$ 10
|
Net Tangible Book Value Per Share [Line Items] |
|
Net Tangible Book Value Amount of Dilution, Per Share | $ / shares |
9.81
|
Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 0.19
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value |
$ (42,946)
|
Net Tangible Book Value Amount of Dilution |
50,640
|
Net Tangible Book Value Adjusted |
$ 1,112,694
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
5,750,000
|
Over-allotment Option Exercised [Member] | Redemption at 100 Percent of Maximum [Member] | Shareholder Redemptions [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
(17,250,000)
|
Number of Shares Used to Determine Net Tangible Book Value Adjusted | shares |
5,750,000
|
Over-allotment Option Exercised [Member] | Redemption at 100 Percent of Maximum [Member] | Underwriting Fees [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (172,500,000)
|
Over-allotment Option Exercised [Member] | Redemption at 100 Percent of Maximum [Member] | Public Offering And Private Placement Shares Offered [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ 173,605,000
|
Over-allotment Option Exercised [Member] | Redemption at 100 Percent of Maximum [Member] | Ordinary Offered And Sale Of Private Placement Warrants [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
17,250,000
|
Over-allotment Option Exercised [Member] | Redemption at 50 Percent of Maximum [Member] |
|
Adjusted Net Tangible Book Value Per Share with Sources of Dilution [Line Items] |
|
Registered Offering Price per Share | $ / shares |
$ 10
|
Net Tangible Book Value Per Share [Line Items] |
|
Net Tangible Book Value Amount of Dilution, Per Share | $ / shares |
4.16
|
Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 5.84
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value |
$ (42,946)
|
Net Tangible Book Value Amount of Dilution |
50,640
|
Net Tangible Book Value Adjusted |
$ 83,912,694
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
5,750,000
|
Over-allotment Option Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Shareholder Redemptions [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
(8,625,000)
|
Number of Shares Used to Determine Net Tangible Book Value Adjusted | shares |
14,375,000
|
Over-allotment Option Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Underwriting Fees [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (86,250,000)
|
Over-allotment Option Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Public Offering And Private Placement Shares Offered [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
173,605,000
|
Over-allotment Option Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Offering Costs Accrued Or Paid In Advance [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (3,450,000)
|
Over-allotment Option Exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Ordinary Offered And Sale Of Private Placement Warrants [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
17,250,000
|
Over-allotment Option Exercised [Member] | Redemption at 75 Percent of Maximum [Member] |
|
Adjusted Net Tangible Book Value Per Share with Sources of Dilution [Line Items] |
|
Registered Offering Price per Share | $ / shares |
$ 10
|
Net Tangible Book Value Per Share [Line Items] |
|
Net Tangible Book Value Amount of Dilution, Per Share | $ / shares |
5.78
|
Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 4.22
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value |
$ (42,946)
|
Net Tangible Book Value Amount of Dilution |
50,640
|
Net Tangible Book Value Adjusted |
$ 42,512,694
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
5,750,000
|
Over-allotment Option Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Shareholder Redemptions [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
(12,937,500)
|
Number of Shares Used to Determine Net Tangible Book Value Adjusted | shares |
10,062,500
|
Over-allotment Option Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Underwriting Fees [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (129,375,000)
|
Over-allotment Option Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Public Offering And Private Placement Shares Offered [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
173,605,000
|
Over-allotment Option Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Offering Costs Accrued Or Paid In Advance [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (1,725,000)
|
Over-allotment Option Exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Ordinary Offered And Sale Of Private Placement Warrants [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
17,250,000
|
Over-allotment Option Exercised [Member] | Redemption at 25 Percent of Maximum [Member] |
|
Adjusted Net Tangible Book Value Per Share with Sources of Dilution [Line Items] |
|
Registered Offering Price per Share | $ / shares |
$ 10
|
Net Tangible Book Value Per Share [Line Items] |
|
Net Tangible Book Value Amount of Dilution, Per Share | $ / shares |
3.29
|
Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 6.71
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value |
$ (42,946)
|
Net Tangible Book Value Amount of Dilution |
50,640
|
Net Tangible Book Value Adjusted |
$ 125,312,694
|
Number of Shares Used [Line Items] |
|
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share | shares |
5,750,000
|
Over-allotment Option Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Shareholder Redemptions [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
(4,312,500)
|
Number of Shares Used to Determine Net Tangible Book Value Adjusted | shares |
18,687,500
|
Over-allotment Option Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Underwriting Fees [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (43,125,000)
|
Over-allotment Option Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Public Offering And Private Placement Shares Offered [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
173,605,000
|
Over-allotment Option Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Offering Costs Accrued Or Paid In Advance [Member] |
|
Net Tangible Book Value [Line Items] |
|
Net Tangible Book Value Amount of Dilution |
$ (5,175,000)
|
Over-allotment Option Exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Ordinary Offered And Sale Of Private Placement Warrants [Member] |
|
Number of Shares Used [Line Items] |
|
Number of Shares Used Adjustment | shares |
17,250,000
|