v3.26.1
Organization and Business Operations (Details) - USD ($)
6 Months Ended
Jan. 28, 2026
Jan. 26, 2026
Jun. 30, 2026
Mar. 16, 2026
Dec. 31, 2025
Private Placement [Line Items]          
Incorporation date     Oct. 16, 2025    
Gross proceeds from initial public offering     $ 360,000,000    
Gross proceeds $ 9,800,000   9,800,000    
Transaction costs     20,458,198    
Cash underwriting fee     7,200,000    
Dferred fee     12,600,000    
Other offering costs     $ 658,198    
Percentage of assets held in the trust account     80.00%    
Acquires percentage     50.00%    
Public shares percentage   100.00%      
Public share price (in Dollars per share)     $ 10    
Interest to pay dissolution expenses     $ 100,000    
Trust Account [Member]          
Private Placement [Line Items]          
Share price     $ 10    
Class A Ordinary Shares [Member]          
Private Placement [Line Items]          
Ordinary shares, par value     $ 0.0001   $ 0.0001
Ordinary shares, shares issued (in Shares)     980,000   980,000
Number of shares in each public unit     1    
Number of shares in each private placement unit 1        
Class B Ordinary Shares [Member]          
Private Placement [Line Items]          
Ordinary shares, par value [1],[2]     $ 0.0001   $ 0.0001
Ordinary shares, shares issued (in Shares) [1],[2]     12,000,000   12,006,000
Class B Ordinary Shares [Member] | Sponsor [Member]          
Private Placement [Line Items]          
Ordinary shares, shares issued (in Shares)   2,001,000      
Over-Allotment Option [Member]          
Private Placement [Line Items]          
Number of units issued (in Shares) 4,680,000        
Over-Allotment Option [Member] | Class B Ordinary Shares [Member]          
Private Placement [Line Items]          
Ordinary shares, shares issued (in Shares)       6,000  
Private Placement [Member]          
Private Placement [Line Items]          
Number of units issued (in Shares) 980,000        
Price per share (in Dollars per share) $ 10        
Gross proceeds $ 9,800,000        
Sale of units 980,000        
Private Placement [Member] | BTIG [Member]          
Private Placement [Line Items]          
Number of units issued (in Shares) 470,000        
Private Placement [Member] | Sponsor [Member]          
Private Placement [Line Items]          
Number of units issued (in Shares) 510,000        
Private Placement [Member] | Class A Ordinary Shares [Member]          
Private Placement [Line Items]          
Price per share (in Dollars per share) $ 11.5        
Initial Public Offering [Member]          
Private Placement [Line Items]          
Gross proceeds from initial public offering $ 360,000,000        
Number of units issued (in Shares) 36,000,000        
Price per share (in Dollars per share) $ 10        
Public shares percentage 100.00%        
Price per public share     $ 10.15    
Maturity days 185 days        
Initial Public Offering [Member] | Trust Account [Member]          
Private Placement [Line Items]          
Gross proceeds from initial public offering $ 360,000,000        
Price per unit $ 10        
Initial Public Offering [Member] | Class A Ordinary Shares [Member]          
Private Placement [Line Items]          
Ordinary shares, par value $ 0.0001        
Initial Public Offering [Member] | Class B Ordinary Shares [Member]          
Private Placement [Line Items]          
Ordinary shares, par value       $ 0.0001  
[1] Includes an aggregate of up to 1,566,000 Class B Ordinary Shares subject to forfeiture if the Over-Allotment Option was not exercised in full or in part by the Underwriters. On January 26, 2026, through a share capitalization, the Company issued an additional 2,001,000 Class B Ordinary Shares to the Sponsor, resulting in the Sponsor holding an aggregate of 12,006,000 Class B Ordinary Shares. All share and per-share amounts have been retroactively restated (Note 5).
[2] On January 28, 2026, the Underwriters partially exercised their Over-Allotment Option in the amount of 4,680,000 Option Units. On March 11, 2026, the Underwriters forfeited the remaining unexercised balance of 18,000 Option Units. As a result of the partial exercise of the Over-Allotment Option and forfeiture of the unexercised Over-Allotment Option by the Underwriters, 6,000 Founder Shares were forfeited by the Sponsor for no consideration (Note 5).