v3.26.1
Condensed Statements of Cash Flows - USD ($)
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2026
Mar. 31, 2026
Jun. 30, 2025
Mar. 31, 2025
Jun. 30, 2026
Jun. 30, 2025
Dec. 31, 2025
Cash Flows From Operating Activities:              
Net loss $ (1,684,656) $ (1,273,724) $ (634,525) $ (1,143,492) $ (2,958,380) $ (1,778,017)  
Adjustments to reconcile net income (loss) to net cash used in operating activities:              
Investment income earned on investments held in the Trust Account         (109,449) (160,964)  
Gain (loss) on change in fair value of derivative liabilities         1,950,000 483,600  
Interest income earned on investment account         (1,197) (2,040)  
Changes in operating assets and liabilities:              
Prepaid expenses         6,283 39,859  
Income tax receivable         (6,689) (10,000)  
Other deferred expenses         281,146 316,485  
Consulting fees payable – related party         (187,200) 93,600  
Accounts payable and accrued expenses         439,043 404,727  
Net Cash Used In Operating Activities         (586,443) (612,750)  
Cash Flows From Investing Activities:              
Cash withdrawn from Trust for Taxes         27,948 10,057  
Cash withdrawn from Investment Account into Trust for Redemptions         0 3,431  
Cas withdrawn from Trust into Restricted Investment Account         0 (3,431)  
Cash withdrawn from Investment Account for Account Fees         0 553  
Cash withdrawn from Trust to Pay Redeeming Stockholders         32,971 2,603,925  
Net Cash Provided by Investing Activities         60,919 2,614,535  
Cash Flows From Financing Activities:              
Redemption of Class A common stock         (32,971) (2,603,925)  
Proceeds from loan payable - Sponsor         375,000 455,000  
Proceeds from related party advances         172,283 145,507  
Net Cash Provided by (Used In) Financing Activities         514,312 (2,003,418)  
Net change in cash         (11,212) (1,633)  
Cash at beginning of period   $ 18,708   $ 18,458 18,708 18,458 $ 18,458
Cash at end of period $ 7,496   $ 16,825   7,496 16,825 $ 18,708
Supplemental Schedule of Cash Flow Information:              
Cash paid for income taxes         27,948 10,057  
Supplemental Schedule of Non-cash Financing Activities:              
Remeasurement of Class A common stock subject to possible redemption to redemption amount         82,698 141,294  
Excise tax liability accrued for common stock redemptions         $ 0 $ 26,040