S-K 1602(c) Dilution
|
May 31, 2026
USD ($)
$ / shares
shares
|
| Adjusted Net Tangible Book Value Per Share With Sources Of Dilution Line Items |
|
| Registered Offering Price per Share | $ / shares |
$ 10.00
|
| Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
7.29
|
| Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
7.28
|
| No Redemption [Member] | Over-allotment Option Exercised [Member] |
|
| Adjusted Net Tangible Book Value Per Share With Sources Of Dilution Line Items |
|
| Registered Offering Price per Share | $ / shares |
10.00
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Pre-transaction, Per Share | $ / shares |
(0.03)
|
| Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares |
7.32
|
| Net Tangible Book Value, Amount of Dilution, per Share | $ / shares |
2.71
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 7.29
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ 115,525,000
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
15,850,833
|
| No Redemption [Member] | Over-allotment Option Not Exercised [Member] |
|
| Adjusted Net Tangible Book Value Per Share With Sources Of Dilution Line Items |
|
| Registered Offering Price per Share | $ / shares |
$ 10.00
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Pre-transaction, Per Share | $ / shares |
(0.03)
|
| Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares |
7.31
|
| Net Tangible Book Value, Amount of Dilution, per Share | $ / shares |
2.72
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 7.28
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ 100,343,650
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
13,783,333
|
| No Redemption [Member] | Overallotment Liability [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| No Redemption [Member] | Overallotment Liability [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
(181,350)
|
| No Redemption [Member] | Net tangible book deficit before this offering and excluding deferred offering costs [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value | $ |
(112,519)
|
| No Redemption [Member] | Net tangible book deficit before this offering and excluding deferred offering costs [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value | $ |
(112,519)
|
| No Redemption [Member] | Net proceeds from this offering and sale of the private warrants, net of expenses [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Proceeds from Offering | $ |
115,500,000
|
| No Redemption [Member] | Net proceeds from this offering and sale of the private warrants, net of expenses [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Proceeds from Offering | $ |
100,500,000
|
| No Redemption [Member] | Offering costs paid in advance, excluded from tangible book value [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
137,519
|
| No Redemption [Member] | Offering costs paid in advance, excluded from tangible book value [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
137,519
|
| No Redemption [Member] | Underwriting discounts and commissions [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| No Redemption [Member] | Underwriting discounts and commissions [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| No Redemption [Member] | Proceeds held in trust subject to redemption [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| No Redemption [Member] | Proceeds held in trust subject to redemption [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| No Redemption [Member] | Ordinary shares issued and outstanding prior to this offering [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
3,833,333
|
| No Redemption [Member] | Ordinary shares issued and outstanding prior to this offering [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
3,833,333
|
| No Redemption [Member] | Ordinary shares forfeited if over-allotment is not exercised [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| No Redemption [Member] | Ordinary shares forfeited if over-allotment is not exercised [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(500,000)
|
| No Redemption [Member] | Ordinary shares underlying the private warrants [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| No Redemption [Member] | Ordinary shares underlying the private warrants [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| No Redemption [Member] | Ordinary shares underlying the public warrants [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| No Redemption [Member] | Ordinary shares underlying the public warrants [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| No Redemption [Member] | Representative Shares [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
517,500
|
| No Redemption [Member] | Representative Shares [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
450,000
|
| No Redemption [Member] | Shares subject to redemption [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| No Redemption [Member] | Shares subject to redemption [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| No Redemption [Member] | Additional private warrants sold to sponsor [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| No Redemption [Member] | Ordinary shares included in the units offered [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Offering |
11,500,000
|
| No Redemption [Member] | Ordinary shares included in the units offered [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Offering |
10,000,000
|
| Redemption at 100 Percent of Maximum [Member] | Over-allotment Option Exercised [Member] |
|
| Adjusted Net Tangible Book Value Per Share With Sources Of Dilution Line Items |
|
| Registered Offering Price per Share | $ / shares |
$ 10.00
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Pre-transaction, Per Share | $ / shares |
(0.03)
|
| Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares |
0.15
|
| Net Tangible Book Value, Amount of Dilution, per Share | $ / shares |
9.88
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 0.12
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ 525,000
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
4,350,833
|
| Difference Between the Offering Price and the Adjusted Net Tangible Book Value, Per Share | $ / shares |
$ 9.88
|
| Redemption at 100 Percent of Maximum [Member] | Over-allotment Option Not Exercised [Member] |
|
| Adjusted Net Tangible Book Value Per Share With Sources Of Dilution Line Items |
|
| Registered Offering Price per Share | $ / shares |
10.00
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Pre-transaction, Per Share | $ / shares |
(0.03)
|
| Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares |
0.12
|
| Net Tangible Book Value, Amount of Dilution, per Share | $ / shares |
9.91
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 0.09
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ 343,650
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
3,783,333
|
| Difference Between the Offering Price and the Adjusted Net Tangible Book Value, Per Share | $ / shares |
$ 9.91
|
| Redemption at 100 Percent of Maximum [Member] | Overallotment Liability [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 100 Percent of Maximum [Member] | Overallotment Liability [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
(181,350)
|
| Redemption at 100 Percent of Maximum [Member] | Net tangible book deficit before this offering and excluding deferred offering costs [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value | $ |
(112,519)
|
| Redemption at 100 Percent of Maximum [Member] | Net tangible book deficit before this offering and excluding deferred offering costs [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value | $ |
(112,519)
|
| Redemption at 100 Percent of Maximum [Member] | Net proceeds from this offering and sale of the private warrants, net of expenses [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Proceeds from Offering | $ |
115,500,000
|
| Redemption at 100 Percent of Maximum [Member] | Net proceeds from this offering and sale of the private warrants, net of expenses [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Proceeds from Offering | $ |
100,500,000
|
| Redemption at 100 Percent of Maximum [Member] | Offering costs paid in advance, excluded from tangible book value [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
137,519
|
| Redemption at 100 Percent of Maximum [Member] | Offering costs paid in advance, excluded from tangible book value [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
137,519
|
| Redemption at 100 Percent of Maximum [Member] | Underwriting discounts and commissions [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 100 Percent of Maximum [Member] | Underwriting discounts and commissions [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 100 Percent of Maximum [Member] | Proceeds held in trust subject to redemption [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
(115,000,000)
|
| Redemption at 100 Percent of Maximum [Member] | Proceeds held in trust subject to redemption [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ (100,000,000)
|
| Redemption at 100 Percent of Maximum [Member] | Ordinary shares issued and outstanding prior to this offering [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
3,833,333
|
| Redemption at 100 Percent of Maximum [Member] | Ordinary shares issued and outstanding prior to this offering [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
3,833,333
|
| Redemption at 100 Percent of Maximum [Member] | Ordinary shares forfeited if over-allotment is not exercised [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 100 Percent of Maximum [Member] | Ordinary shares forfeited if over-allotment is not exercised [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(500,000)
|
| Redemption at 100 Percent of Maximum [Member] | Ordinary shares underlying the private warrants [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 100 Percent of Maximum [Member] | Ordinary shares underlying the private warrants [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 100 Percent of Maximum [Member] | Ordinary shares underlying the public warrants [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 100 Percent of Maximum [Member] | Ordinary shares underlying the public warrants [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 100 Percent of Maximum [Member] | Representative Shares [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
517,500
|
| Redemption at 100 Percent of Maximum [Member] | Representative Shares [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
450,000
|
| Redemption at 100 Percent of Maximum [Member] | Shares subject to redemption [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(11,500,000)
|
| Redemption at 100 Percent of Maximum [Member] | Shares subject to redemption [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(10,000,000)
|
| Redemption at 100 Percent of Maximum [Member] | Additional private warrants sold to sponsor [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 100 Percent of Maximum [Member] | Ordinary shares included in the units offered [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Offering |
11,500,000
|
| Redemption at 100 Percent of Maximum [Member] | Ordinary shares included in the units offered [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Offering |
10,000,000
|
| Redemption at 25 Percent of Maximum [Member] | Over-allotment Option Exercised [Member] |
|
| Adjusted Net Tangible Book Value Per Share With Sources Of Dilution Line Items |
|
| Registered Offering Price per Share | $ / shares |
$ 10.00
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Pre-transaction, Per Share | $ / shares |
(0.03)
|
| Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares |
6.72
|
| Net Tangible Book Value, Amount of Dilution, per Share | $ / shares |
3.31
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 6.69
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ 86,775,000
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
12,975,833
|
| Difference Between the Offering Price and the Adjusted Net Tangible Book Value, Per Share | $ / shares |
$ 3.31
|
| Redemption at 25 Percent of Maximum [Member] | Over-allotment Option Not Exercised [Member] |
|
| Adjusted Net Tangible Book Value Per Share With Sources Of Dilution Line Items |
|
| Registered Offering Price per Share | $ / shares |
10.00
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Pre-transaction, Per Share | $ / shares |
(0.03)
|
| Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares |
6.71
|
| Net Tangible Book Value, Amount of Dilution, per Share | $ / shares |
3.32
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 6.68
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ 75,343,650
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
11,283,333
|
| Difference Between the Offering Price and the Adjusted Net Tangible Book Value, Per Share | $ / shares |
$ 3.32
|
| Redemption at 25 Percent of Maximum [Member] | Overallotment Liability [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 25 Percent of Maximum [Member] | Overallotment Liability [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
(181,350)
|
| Redemption at 25 Percent of Maximum [Member] | Net tangible book deficit before this offering and excluding deferred offering costs [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value | $ |
(112,519)
|
| Redemption at 25 Percent of Maximum [Member] | Net tangible book deficit before this offering and excluding deferred offering costs [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value | $ |
(112,519)
|
| Redemption at 25 Percent of Maximum [Member] | Net proceeds from this offering and sale of the private warrants, net of expenses [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Proceeds from Offering | $ |
115,500,000
|
| Redemption at 25 Percent of Maximum [Member] | Net proceeds from this offering and sale of the private warrants, net of expenses [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Proceeds from Offering | $ |
100,500,000
|
| Redemption at 25 Percent of Maximum [Member] | Offering costs paid in advance, excluded from tangible book value [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
137,519
|
| Redemption at 25 Percent of Maximum [Member] | Offering costs paid in advance, excluded from tangible book value [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
137,519
|
| Redemption at 25 Percent of Maximum [Member] | Underwriting discounts and commissions [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 25 Percent of Maximum [Member] | Underwriting discounts and commissions [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 25 Percent of Maximum [Member] | Proceeds held in trust subject to redemption [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
(28,750,000)
|
| Redemption at 25 Percent of Maximum [Member] | Proceeds held in trust subject to redemption [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ (25,000,000)
|
| Redemption at 25 Percent of Maximum [Member] | Ordinary shares issued and outstanding prior to this offering [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
3,833,333
|
| Redemption at 25 Percent of Maximum [Member] | Ordinary shares issued and outstanding prior to this offering [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
3,833,333
|
| Redemption at 25 Percent of Maximum [Member] | Ordinary shares forfeited if over-allotment is not exercised [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 25 Percent of Maximum [Member] | Ordinary shares forfeited if over-allotment is not exercised [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(500,000)
|
| Redemption at 25 Percent of Maximum [Member] | Ordinary shares underlying the private warrants [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 25 Percent of Maximum [Member] | Ordinary shares underlying the private warrants [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 25 Percent of Maximum [Member] | Ordinary shares underlying the public warrants [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 25 Percent of Maximum [Member] | Ordinary shares underlying the public warrants [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 25 Percent of Maximum [Member] | Representative Shares [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
517,500
|
| Redemption at 25 Percent of Maximum [Member] | Representative Shares [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
450,000
|
| Redemption at 25 Percent of Maximum [Member] | Shares subject to redemption [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(2,875,000)
|
| Redemption at 25 Percent of Maximum [Member] | Shares subject to redemption [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(2,500,000)
|
| Redemption at 25 Percent of Maximum [Member] | Additional private warrants sold to sponsor [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 25 Percent of Maximum [Member] | Ordinary shares included in the units offered [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Offering |
11,500,000
|
| Redemption at 25 Percent of Maximum [Member] | Ordinary shares included in the units offered [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Offering |
10,000,000
|
| Redemption at 50 Percent of Maximum [Member] | Over-allotment Option Exercised [Member] |
|
| Adjusted Net Tangible Book Value Per Share With Sources Of Dilution Line Items |
|
| Registered Offering Price per Share | $ / shares |
$ 10.00
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Pre-transaction, Per Share | $ / shares |
(0.03)
|
| Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares |
5.77
|
| Net Tangible Book Value, Amount of Dilution, per Share | $ / shares |
4.26
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 5.74
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ 58,025,000
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
10,100,833
|
| Difference Between the Offering Price and the Adjusted Net Tangible Book Value, Per Share | $ / shares |
$ 4.26
|
| Redemption at 50 Percent of Maximum [Member] | Over-allotment Option Not Exercised [Member] |
|
| Adjusted Net Tangible Book Value Per Share With Sources Of Dilution Line Items |
|
| Registered Offering Price per Share | $ / shares |
10.00
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Pre-transaction, Per Share | $ / shares |
(0.03)
|
| Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares |
5.76
|
| Net Tangible Book Value, Amount of Dilution, per Share | $ / shares |
4.27
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 5.73
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ 50,343,650
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
8,783,333
|
| Difference Between the Offering Price and the Adjusted Net Tangible Book Value, Per Share | $ / shares |
$ 4.27
|
| Redemption at 50 Percent of Maximum [Member] | Overallotment Liability [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 50 Percent of Maximum [Member] | Overallotment Liability [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
(181,350)
|
| Redemption at 50 Percent of Maximum [Member] | Net tangible book deficit before this offering and excluding deferred offering costs [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value | $ |
(112,519)
|
| Redemption at 50 Percent of Maximum [Member] | Net tangible book deficit before this offering and excluding deferred offering costs [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value | $ |
(112,519)
|
| Redemption at 50 Percent of Maximum [Member] | Net proceeds from this offering and sale of the private warrants, net of expenses [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Proceeds from Offering | $ |
115,500,000
|
| Redemption at 50 Percent of Maximum [Member] | Net proceeds from this offering and sale of the private warrants, net of expenses [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Proceeds from Offering | $ |
100,500,000
|
| Redemption at 50 Percent of Maximum [Member] | Offering costs paid in advance, excluded from tangible book value [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
137,519
|
| Redemption at 50 Percent of Maximum [Member] | Offering costs paid in advance, excluded from tangible book value [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
137,519
|
| Redemption at 50 Percent of Maximum [Member] | Underwriting discounts and commissions [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 50 Percent of Maximum [Member] | Underwriting discounts and commissions [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 50 Percent of Maximum [Member] | Proceeds held in trust subject to redemption [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
(57,500,000)
|
| Redemption at 50 Percent of Maximum [Member] | Proceeds held in trust subject to redemption [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ (50,000,000)
|
| Redemption at 50 Percent of Maximum [Member] | Ordinary shares issued and outstanding prior to this offering [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
3,833,333
|
| Redemption at 50 Percent of Maximum [Member] | Ordinary shares issued and outstanding prior to this offering [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
3,833,333
|
| Redemption at 50 Percent of Maximum [Member] | Ordinary shares forfeited if over-allotment is not exercised [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 50 Percent of Maximum [Member] | Ordinary shares forfeited if over-allotment is not exercised [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(500,000)
|
| Redemption at 50 Percent of Maximum [Member] | Ordinary shares underlying the private warrants [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 50 Percent of Maximum [Member] | Ordinary shares underlying the private warrants [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 50 Percent of Maximum [Member] | Ordinary shares underlying the public warrants [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 50 Percent of Maximum [Member] | Ordinary shares underlying the public warrants [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 50 Percent of Maximum [Member] | Representative Shares [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
517,500
|
| Redemption at 50 Percent of Maximum [Member] | Representative Shares [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
450,000
|
| Redemption at 50 Percent of Maximum [Member] | Shares subject to redemption [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(5,750,000)
|
| Redemption at 50 Percent of Maximum [Member] | Shares subject to redemption [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(5,000,000)
|
| Redemption at 50 Percent of Maximum [Member] | Additional private warrants sold to sponsor [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 50 Percent of Maximum [Member] | Ordinary shares included in the units offered [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Offering |
11,500,000
|
| Redemption at 50 Percent of Maximum [Member] | Ordinary shares included in the units offered [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Offering |
10,000,000
|
| Redemption at 75 Percent of Maximum [Member] | Over-allotment Option Exercised [Member] |
|
| Adjusted Net Tangible Book Value Per Share With Sources Of Dilution Line Items |
|
| Registered Offering Price per Share | $ / shares |
$ 10.00
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Pre-transaction, Per Share | $ / shares |
(0.03)
|
| Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares |
4.08
|
| Net Tangible Book Value, Amount of Dilution, per Share | $ / shares |
5.95
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 4.05
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ 29,275,000
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
7,225,833
|
| Difference Between the Offering Price and the Adjusted Net Tangible Book Value, Per Share | $ / shares |
$ 5.95
|
| Redemption at 75 Percent of Maximum [Member] | Over-allotment Option Not Exercised [Member] |
|
| Adjusted Net Tangible Book Value Per Share With Sources Of Dilution Line Items |
|
| Registered Offering Price per Share | $ / shares |
10.00
|
| Net Tangible Book Value Per Share Line Items |
|
| Net Tangible Book Value, Pre-transaction, Per Share | $ / shares |
(0.03)
|
| Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares |
4.06
|
| Net Tangible Book Value, Amount of Dilution, per Share | $ / shares |
5.97
|
| Net Tangible Book Value, Adjusted, per Share | $ / shares |
$ 4.03
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ 25,343,650
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
6,283,333
|
| Difference Between the Offering Price and the Adjusted Net Tangible Book Value, Per Share | $ / shares |
$ 5.97
|
| Redemption at 75 Percent of Maximum [Member] | Overallotment Liability [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 75 Percent of Maximum [Member] | Overallotment Liability [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
(181,350)
|
| Redemption at 75 Percent of Maximum [Member] | Net tangible book deficit before this offering and excluding deferred offering costs [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value | $ |
(112,519)
|
| Redemption at 75 Percent of Maximum [Member] | Net tangible book deficit before this offering and excluding deferred offering costs [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value | $ |
(112,519)
|
| Redemption at 75 Percent of Maximum [Member] | Net proceeds from this offering and sale of the private warrants, net of expenses [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Proceeds from Offering | $ |
115,500,000
|
| Redemption at 75 Percent of Maximum [Member] | Net proceeds from this offering and sale of the private warrants, net of expenses [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Proceeds from Offering | $ |
100,500,000
|
| Redemption at 75 Percent of Maximum [Member] | Offering costs paid in advance, excluded from tangible book value [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
137,519
|
| Redemption at 75 Percent of Maximum [Member] | Offering costs paid in advance, excluded from tangible book value [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
137,519
|
| Redemption at 75 Percent of Maximum [Member] | Underwriting discounts and commissions [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 75 Percent of Maximum [Member] | Underwriting discounts and commissions [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
|
| Redemption at 75 Percent of Maximum [Member] | Proceeds held in trust subject to redemption [Member] | Over-allotment Option Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
(86,250,000)
|
| Redemption at 75 Percent of Maximum [Member] | Proceeds held in trust subject to redemption [Member] | Over-allotment Option Not Exercised [Member] |
|
| Net Tangible Book Value Line Items |
|
| Net Tangible Book Value, Adjusted | $ |
$ (75,000,000)
|
| Redemption at 75 Percent of Maximum [Member] | Ordinary shares issued and outstanding prior to this offering [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
3,833,333
|
| Redemption at 75 Percent of Maximum [Member] | Ordinary shares issued and outstanding prior to this offering [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
3,833,333
|
| Redemption at 75 Percent of Maximum [Member] | Ordinary shares forfeited if over-allotment is not exercised [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 75 Percent of Maximum [Member] | Ordinary shares forfeited if over-allotment is not exercised [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(500,000)
|
| Redemption at 75 Percent of Maximum [Member] | Ordinary shares underlying the private warrants [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 75 Percent of Maximum [Member] | Ordinary shares underlying the private warrants [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 75 Percent of Maximum [Member] | Ordinary shares underlying the public warrants [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 75 Percent of Maximum [Member] | Ordinary shares underlying the public warrants [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 75 Percent of Maximum [Member] | Representative Shares [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
517,500
|
| Redemption at 75 Percent of Maximum [Member] | Representative Shares [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
450,000
|
| Redemption at 75 Percent of Maximum [Member] | Shares subject to redemption [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(8,625,000)
|
| Redemption at 75 Percent of Maximum [Member] | Shares subject to redemption [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
(7,500,000)
|
| Redemption at 75 Percent of Maximum [Member] | Additional private warrants sold to sponsor [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Adjustment |
|
| Redemption at 75 Percent of Maximum [Member] | Ordinary shares included in the units offered [Member] | Over-allotment Option Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Offering |
11,500,000
|
| Redemption at 75 Percent of Maximum [Member] | Ordinary shares included in the units offered [Member] | Over-allotment Option Not Exercised [Member] |
|
| Number Of Shares Used Line Items |
|
| Number of Shares Used, Offering |
10,000,000
|