v3.25.4
Statements of Cash Flows - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
CASH FLOWS FROM OPERATING ACTIVITIES:    
Net income $ 8,989,141 $ 4,141,371
Adjustments to reconcile net income to net cash used in operating activities:    
Income from investments held in Trust account (10,762,965) (4,675,702)
Unrealized gain on investments held in Trust account (159,076)
Changes in operating assets and liabilities:    
Increase in prepaid assets (11,537)
Increase in accounts payable and accrued expenses 1,050,218 54
Decrease (increase) in amount due from Sponsor 44,674 (74,028)
Increase in amount payable to related party 204,287 63,913
Net cash used in operating activities (486,182) (703,468)
CASH FLOWS FROM INVESTING ACTIVITIES:    
Cash deposited in Trust Account (254,265,000)
Net cash used in investing activities (254,265,000)
CASH FLOWS FROM FINANCING ACTIVITIES:    
Issuance of shares to Sponsor 25,000
Gross proceeds from initial public offering 253,000,000
Proceeds from private placement 7,665,000
Payment of offering costs (5,000,387)
Reimbursement of underwriter expenses   (52,860)
Net cash provided by financing activities 255,636,753
Net (decrease) increase in cash (486,182) 668,285
Cash and cash equivalents – beginning of the year 668,285
Cash and cash equivalents – end of the year 182,103 668,285
Supplemental disclosure of non-cash investing and financing activities:    
Deferred underwriting fee payable $ 12,045,000