v3.26.1
Statements of Cash Flows - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
OPERATING ACTIVITIES    
Net (loss) / income $ (881,197) $ (817,025)
Adjustments to reconcile net loss to net cash used in operating activities:    
Interest earned on cash and marketable securities held in Trust Account (40,060) (582,231)
Change in fair value of convertible notes payable, related party (790)
Amortization expenses 27,997 17,736
Interest expenses 1,331 123
Lease payments (14,397) (20,777)
Change in operating assets and liabilities:    
Prepaid expenses and other current assets 1,200 5,548
Accounts payable and accrued expenses 310,137 (94,097)
Franchise tax payable (98,886) 230,578
Income tax payable (6,000) 179,000
Net cash used in operating activities (699,875) (1,081,935)
INVESTING ACTIVITIES    
Investment of cash in Trust Account (552,954)
Cash withdrawn from Trust Account 758,613 26,045,551
Net cash provided by investing activities 758,613 25,492,597
FINANCING ACTIVITIES    
Redemption of common stock (681,347) (25,747,589)
Proceeds from receipt of clawbacked income tax related to redemption 344,506
Proceeds from bridge loan 1,476,882
Proceeds from convertible notes payable - related party 701,981 187,103
Repayment of convertible notes payable- related party (146,025) (270,000)
Net cash provided by (used in) financing activities 219,115 (24,353,604)
Net increase (decrease) in cash during period 277,853 57,058
Cash and cash equivalents, beginning of period 68,758 11,700
Cash and cash equivalents, end of period 346,611 68,758
SUPPLEMENTAL DISCLOSURE OF NON-CASH FINANCING ACTIVITIES    
Change in value of common stock subject to possible redemption (28,060) 24,622,274
Original debt discount on bridge loan 23,118
Lease liabilities arising from obtaining ROU assets $ 59,428