v3.26.1
Capital Reorganization - Schedule of Fair Value of Bridgetown's Identifiable Net Assets Acquired (Details)
12 Months Ended
Dec. 31, 2025
USD ($)
Schedule of Fair Value of Bridgetown's Identifiable Net Assets Acquired [Line Items]  
Net identifiable assets acquired $ 86,519,700
Less: Fair Value of consideration comprising  
Total Fair value of consideration 153,546,878
Share-based payment on listing 67,027,178
Cash [Member]  
Schedule of Fair Value of Bridgetown's Identifiable Net Assets Acquired [Line Items]  
Net identifiable assets acquired 46,783
Cash held in Trust Account [Member]  
Schedule of Fair Value of Bridgetown's Identifiable Net Assets Acquired [Line Items]  
Net identifiable assets acquired 91,466,681
Warrant liabilities [Member]  
Schedule of Fair Value of Bridgetown's Identifiable Net Assets Acquired [Line Items]  
Net identifiable assets acquired (4,993,764)
Class A ordinary shares [Member]  
Less: Fair Value of consideration comprising  
Total Fair value of consideration 62,066,624
Class B ordinary shares [Member]  
Less: Fair Value of consideration comprising  
Total Fair value of consideration $ 91,480,254