v3.25.4
STATEMENT OF CASH FLOWS - USD ($)
11 Months Ended 12 Months Ended
Dec. 31, 2024
Dec. 31, 2025
Cash Flows from Operating Activities:    
Net income $ 3,157,131 $ 3,367,296
Adjustments to reconcile net income to net cash used in operating activities:    
Payment of operating costs in exchange for issuance of Founder Shares 25,000
Payment of operating costs through advance from related party 31,620
Interest earned on cash held in Trust Account (3,518,931) (4,624,152)
Changes in operating assets and liabilities:    
Prepaid expenses (25,621) 21,204
Due to Sponsor 75,000 120,725
Accrued expenses 166,300 553,524
Net cash used in operating activities (89,501) (561,403)
Cash Flows from Investing Activities:    
Investment of cash in Trust Account (115,575,000) (120,000)
Cash withdrawn from Trust Account in connection with redemption 71,580,705
Net cash provided by (used in) investing activities (115,575,000) 71,460,705
Cash Flows from Financing Activities:    
Proceeds from sale of Units, net of underwriting discounts paid 112,700,000
Proceeds from sale of Private Placement Units 4,375,000
Proceeds from sale of Representative shares 1,739
Advances from related party 45,317
Payment of offering costs (498,769)
Proceeds for extension deposit 60,000
Redemption of ordinary shares (71,580,705)
Net cash (used in) provided by financing activities 116,623,287 (71,520,705)
Net Change in Cash 958,786 (621,403)
Cash – Beginning of period 958,786
Cash – End of period 958,786 337,383
Non-Cash investing and financing activities:    
Remeasurement of ordinary shares subject to possible redemption value 11,562,240 4,744,152
Deferred underwriting fee payable 4,025,000
Offering cost included in advances from related party 61,613
Contributions of extension fees $ 120,000