v3.26.1
Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2026
Fair Value Measurements [Abstract]  
Schedule of Fair Value Assets and Liabilities Measured at Recurring Basis

The following tables present information about the Company’s assets and liabilities that are measured at fair value on a recurring basis at June 30, 2026 and December 31, 2025, and indicate the fair value hierarchy of the valuation inputs the Company utilized to determine such fair value:

 

Description   Level     June 30,
2026
 
Assets:            
Cash and securities held in Trust Account     1     $ 353,145,504  

 

Description   Level     December 31,
2025
 
Assets:            
Cash and securities held in Trust Account     1     $ 346,990,935  
Schedule of Level 3 Valuation of the Public Warrants Issued The following table presents the quantitative information regarding market assumptions used in the Level 3 valuation of the Public Warrants issued in the Initial Public Offering:
    October 29,
2025
 
Implied Class A ordinary share price   $ 9.71  
Exercise price   $ 11.50  
Expected term to de-SPAC     2 years  
Warrant term     7 years  
Volatility     10.00 %
Probability of de-SPAC and market adjustment     40.00 %
Risk-free rate (continuous)     3.83 %