v3.26.1
SEGMENT INFORMATION - Schedule of Segment Information Related To CODM (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2026
Mar. 31, 2026
Jun. 30, 2026
Dec. 31, 2025
Segment Reporting [Line Items]        
Cash $ 796,296   $ 796,296 $ 0
Prepaid insurance 67,962   67,962 0
Prepaid expenses 9,809   9,809 21,232
Marketable securities held in Trust Account 145,165,937   145,165,937 0
Deferred offering costs 4,426,873   4,426,873  
Total assets 146,148,905   146,148,905 106,232
Formation and operating costs 148,627   200,989  
Earnings on marketable securities held in Trust Account 357,187   357,187  
Interest income     49  
Net income 192,135 $ (52,362) 139,773  
Operating Segments [Member]        
Segment Reporting [Line Items]        
Cash 796,296   796,296 0
Due from Sponsor 52,297   52,297 0
Prepaid insurance 67,962   67,962 0
Prepaid expenses 9,809   9,809 21,232
Marketable securities held in Trust Account 145,165,937   145,165,937 0
Prepaid insurance - noncurrent 56,604   56,604 0
Deferred offering costs 0   0 85,000
Total assets 146,148,905   $ 146,148,905 $ 106,232
Formation and operating costs 148,627      
Earnings on marketable securities held in Trust Account 357,187      
Interest income 49      
Net income $ 192,135