v3.26.1
Reverse Recapitalization - Schedule of Net Proceeds from the Merger (Details) - USD ($)
$ in Thousands
6 Months Ended
Nov. 14, 2025
Jun. 30, 2026
Jun. 30, 2025
Reverse Recapitalization [Abstract]      
Cash - Live Oak Trust Account   $ 48,149  
Cash - Live Oak operating account   741  
Total cash from Live Oak   48,890  
Cash - PIPE $ 126,500 126,500  
Live Oak transaction and advisory costs paid from the Live Oak Trust Account   (15,903)  
Net cash proceeds from the SPAC Merger   159,487 $ 0
Repayment of the HBC Credit Facility   (33,850)  
Payment of the Prepayment Amount to the FPA Investor   (42,240)  
Total cash used immediately after the SPAC Merger   (76,090)  
Net cash to Teamshares   $ 83,397