v3.26.1
Statement of Cash Flows
3 Months Ended
Mar. 31, 2026
USD ($)
Cash flows from operating activities  
Net income $ 1,398,394
Changes in operating assets and liabilities:  
Accounts payable 11,702
Accrued offering cost (25,000)
Deferred offering cost 126,763
Prepaid expenses (157,935)
Net cash provided by operating activities 1,353,924
Cash flows from investing activities  
Investment in trust account (229,048,269)
Net cash used in investing activities (229,048,269)
Cash flows from financing activities  
Repayment of promissory note (150,000)
Proceeds from sale of 22,750,000 units at $10 per unit in IPO, including over-allotment, net of offering cost. 225,855,053
Proceeds from sale of 275,00 units to Sponsor in private placement 2,750,000
Proceeds from sale of 1,000,000 $15 strike warrants in private placement 100,000
Proceeds from sale of 227,00 units to underwriters in private placement 100
Net cash provided by Financing activities 228,555,153
Net increase in cash 860,808
Cash at beginning of period 37,181
Cash at end of period 897,989
Supplemental disclosure for non-cash financing activities:  
Offering cost $ 1,644,947