v3.26.1
Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2026
Fair Value Measurements [Abstract]  
Schedule of Fair Value Hierarchy of the Valuation Inputs

As of June 30, 2026, assets held in the Trust Account were comprised of $747 in cash and $416,388,506 invested in U.S. Treasury Bills.

 

    Amortized
Cost
    Unrealized
Loss
    Fair Value  
June 30, 2026                        
U.S. Treasury Securities (Mature on 8/25/26 and 10/22/26)   $ 416,522,490     $ (133,238 )   $ 416,389,253  
Schedule of Assumptions Used in the Level 3 Valuation of the Public Warrants The following table presents the quantitative information regarding market assumptions used in the Level 3 valuation of the Public Warrants:

 

    April 29,
2026
 
Volatility     10.2 %
Risk-free rate     3.93 %
Share price   $ 9.96  
Weighted term (years)     2.38  
Market Pricing Adjustment     12.7 %