| Schedule of net loss per ordinary share |
| Schedule of net loss per ordinary share |
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Three months ended June 30, 2026 |
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Three months ended June 30, 2025 |
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Redeemable Class A |
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Non- Redeemable Class B |
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Redeemable Class A |
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Non- Redeemable Class B |
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| Basic and diluted net income per share: |
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| Numerator: |
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| Allocation of net income |
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$ |
1,658,297 |
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$ |
414,574 |
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$ |
2,066,227 |
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$ |
565,857 |
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| Denominator: |
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| Weighted average shares outstanding, basic |
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27,600,000 |
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6,900,000 |
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24,870,330 |
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6,810,989 |
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| Basic net income per share |
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$ |
0.06 |
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$ |
0.06 |
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$ |
0.08 |
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$ |
0.08 |
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| Weighted average shares outstanding, diluted |
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27,600,000 |
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6,900,000 |
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24,870,330 |
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6,900,000 |
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| Diluted net income per share |
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$ |
0.06 |
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$ |
0.06 |
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$ |
0.08 |
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$ |
0.08 |
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Six months ended June 30, 2026 |
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Six months ended June 30, 2025 |
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Redeemable Class A |
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Non- Redeemable Class B |
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Redeemable Class A |
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Non- Redeemable Class B |
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| Basic and diluted net income per share: |
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| Numerator: |
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| Allocation of net income |
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$ |
3,130,871 |
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$ |
782,718 |
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$ |
1,688,501 |
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$ |
865,289 |
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| Denominator: |
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| Weighted average shares outstanding, basic |
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27,600,000 |
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6,900,000 |
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12,503,867 |
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6,407,735 |
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| Basic net income per share |
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$ |
0.11 |
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$ |
0.11 |
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$ |
0.14 |
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$ |
0.14 |
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| Weighted average shares outstanding, diluted |
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27,600,000 |
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6,900,000 |
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|
12,503,867 |
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|
6,900,000 |
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| Diluted net income per share |
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$ |
0.11 |
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$ |
0.11 |
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$ |
0.14 |
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$ |
0.13 |
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| Schedule of shares subject to redemption |
| Schedule of shares subject to redemption |
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| Gross proceeds |
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$ |
276,000,000 |
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| Less: Proceeds allocated to public warrants |
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(3,808,800 |
) |
| Less: Ordinary share issuance cost |
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(18,239,185 |
) |
| Add: Accretion for Class A ordinary shares subject to redemption amount |
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31,655,070 |
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| Ordinary
shares subject to possible redemption as of December 31, 2025 |
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285,607,085 |
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| Add: Accretion for Class A ordinary shares subject to redemption amount |
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5,061,583 |
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| Ordinary shares subject to possible
redemption as of June 30, 2026 |
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$ |
290,668,668 |
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