v3.26.3
S-K 1602(c) Dilution
May 31, 2026
USD ($)
$ / shares
shares
Number of Shares Used [Line Items]  
Registered Offering Price per Share | $ / shares $ 10
No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Registered Offering Price per Share | $ / shares 10
Net Tangible Book Value, Pre-transaction, Per Share | $ / shares (0.03)
Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares 7.15
Net Tangible Book Value, Adjusted, per Share | $ / shares 7.12
Net Tangible Book Value, Amount of Dilution, per Share | $ / shares $ 2.88
Net Tangible Book Value, Adjusted | $ $ 97,909,906
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 13,743,333
No Redemption [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Registered Offering Price per Share | $ / shares $ 10
Net Tangible Book Value, Pre-transaction, Per Share | $ / shares (0.02)
Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares 7.16
Net Tangible Book Value, Adjusted, per Share | $ / shares 7.13
Net Tangible Book Value, Amount of Dilution, per Share | $ / shares $ 2.87
Net Tangible Book Value, Adjusted | $ $ 112,582,047
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 15,784,583
Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Registered Offering Price per Share | $ / shares $ 10
Net Tangible Book Value, Pre-transaction, Per Share | $ / shares (0.03)
Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares 6.5
Net Tangible Book Value, Adjusted, per Share | $ / shares 6.47
Net Tangible Book Value, Amount of Dilution, per Share | $ / shares $ 3.53
Net Tangible Book Value, Adjusted | $ $ 72,722,406
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 11,243,333
Redemption at 25 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Registered Offering Price per Share | $ / shares $ 10
Net Tangible Book Value, Pre-transaction, Per Share | $ / shares (0.02)
Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares 6.5
Net Tangible Book Value, Adjusted, per Share | $ / shares 6.48
Net Tangible Book Value, Amount of Dilution, per Share | $ / shares $ 3.52
Net Tangible Book Value, Adjusted | $ $ 83,616,422
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 12,909,583
Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Registered Offering Price per Share | $ / shares $ 10
Net Tangible Book Value, Pre-transaction, Per Share | $ / shares (0.03)
Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares 5.47
Net Tangible Book Value, Adjusted, per Share | $ / shares 5.44
Net Tangible Book Value, Amount of Dilution, per Share | $ / shares $ 4.56
Net Tangible Book Value, Adjusted | $ $ 47,534,906
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 8,743,333
Redemption at 50 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Registered Offering Price per Share | $ / shares $ 10
Net Tangible Book Value, Pre-transaction, Per Share | $ / shares (0.02)
Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares 5.47
Net Tangible Book Value, Adjusted, per Share | $ / shares 5.45
Net Tangible Book Value, Amount of Dilution, per Share | $ / shares $ 4.55
Net Tangible Book Value, Adjusted | $ $ 54,650,797
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 10,034,583
Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Registered Offering Price per Share | $ / shares $ 10
Net Tangible Book Value, Pre-transaction, Per Share | $ / shares (0.03)
Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares 3.61
Net Tangible Book Value, Adjusted, per Share | $ / shares 3.58
Net Tangible Book Value, Amount of Dilution, per Share | $ / shares $ 6.42
Net Tangible Book Value, Adjusted | $ $ 22,347,406
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 6,243,333
Redemption at 75 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Registered Offering Price per Share | $ / shares $ 10
Net Tangible Book Value, Pre-transaction, Per Share | $ / shares (0.02)
Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares 3.61
Net Tangible Book Value, Adjusted, per Share | $ / shares 3.59
Net Tangible Book Value, Amount of Dilution, per Share | $ / shares $ 6.41
Net Tangible Book Value, Adjusted | $ $ 25,685,172
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 7,159,583
Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Registered Offering Price per Share | $ / shares $ 10
Net Tangible Book Value, Pre-transaction, Per Share | $ / shares (0.03)
Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares (0.73)
Net Tangible Book Value, Adjusted, per Share | $ / shares (0.76)
Net Tangible Book Value, Amount of Dilution, per Share | $ / shares $ 10.76
Net Tangible Book Value, Adjusted | $ $ (2,840,094)
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 3,743,333
Redemption at 100 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Registered Offering Price per Share | $ / shares $ 10
Net Tangible Book Value, Pre-transaction, Per Share | $ / shares (0.02)
Net Tangible Book Value, Increase from Public Shareholders, Per Share | $ / shares (0.74)
Net Tangible Book Value, Adjusted, per Share | $ / shares (0.77)
Net Tangible Book Value, Amount of Dilution, per Share | $ / shares $ 10.77
Net Tangible Book Value, Adjusted | $ $ (3,280,453)
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 4,284,583
Net tangible book deficit before this offering [Member] | No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value | $ $ (94,937)
Net tangible book deficit before this offering [Member] | No Redemption [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value | $ (94,937)
Net tangible book deficit before this offering [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value | $ (94,937)
Net tangible book deficit before this offering [Member] | Redemption at 25 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value | $ (94,937)
Net tangible book deficit before this offering [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value | $ (94,937)
Net tangible book deficit before this offering [Member] | Redemption at 50 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value | $ (94,937)
Net tangible book deficit before this offering [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value | $ (94,937)
Net tangible book deficit before this offering [Member] | Redemption at 75 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value | $ (94,937)
Net tangible book deficit before this offering [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value | $ (94,937)
Net tangible book deficit before this offering [Member] | Redemption at 100 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value | $ (94,937)
Net proceeds from this offering and the sale of the placement shares [Member] | No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Proceeds from Offering | $ 101,500,000 [1]
Net proceeds from this offering and the sale of the placement shares [Member] | No Redemption [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Proceeds from Offering | $ 116,612,500 [1]
Net proceeds from this offering and the sale of the placement shares [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Proceeds from Offering | $ 101,500,000 [1]
Net proceeds from this offering and the sale of the placement shares [Member] | Redemption at 25 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Proceeds from Offering | $ 116,612,500 [1]
Net proceeds from this offering and the sale of the placement shares [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Proceeds from Offering | $ 101,500,000 [1]
Net proceeds from this offering and the sale of the placement shares [Member] | Redemption at 50 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Proceeds from Offering | $ 116,612,500 [1]
Net proceeds from this offering and the sale of the placement shares [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Proceeds from Offering | $ 101,500,000 [1]
Net proceeds from this offering and the sale of the placement shares [Member] | Redemption at 75 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Proceeds from Offering | $ 116,612,500 [1]
Net proceeds from this offering and the sale of the placement shares [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Proceeds from Offering | $ 101,500,000 [1]
Net proceeds from this offering and the sale of the placement shares [Member] | Redemption at 100 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Proceeds from Offering | $ 116,612,500 [1]
Plus: Offering costs accrued for or paid in advance, excluded from tangible book value [Member] | No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ 89,484
Plus: Offering costs accrued for or paid in advance, excluded from tangible book value [Member] | No Redemption [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ 89,484
Plus: Offering costs accrued for or paid in advance, excluded from tangible book value [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ 89,484
Plus: Offering costs accrued for or paid in advance, excluded from tangible book value [Member] | Redemption at 25 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ 89,484
Plus: Offering costs accrued for or paid in advance, excluded from tangible book value [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ 89,484
Plus: Offering costs accrued for or paid in advance, excluded from tangible book value [Member] | Redemption at 50 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ 89,484
Plus: Offering costs accrued for or paid in advance, excluded from tangible book value [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ 89,484
Plus: Offering costs accrued for or paid in advance, excluded from tangible book value [Member] | Redemption at 75 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ 89,484
Plus: Offering costs accrued for or paid in advance, excluded from tangible book value [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ 89,484
Plus: Offering costs accrued for or paid in advance, excluded from tangible book value [Member] | Redemption at 100 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ 89,484
Less: Deferred underwriting commissions [Member] | No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (3,500,000)
Less: Deferred underwriting commissions [Member] | No Redemption [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (4,025,000)
Less: Deferred underwriting commissions [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (3,500,000)
Less: Deferred underwriting commissions [Member] | Redemption at 25 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (4,025,000)
Less: Deferred underwriting commissions [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (3,500,000)
Less: Deferred underwriting commissions [Member] | Redemption at 50 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (4,025,000)
Less: Deferred underwriting commissions [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (3,500,000)
Less: Deferred underwriting commissions [Member] | Redemption at 75 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (4,025,000)
Less: Deferred underwriting commissions [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (3,500,000)
Less: Deferred underwriting commissions [Member] | Redemption at 100 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (4,025,000)
Less: Overallotment liability [Member] | No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (84,641)
Less: Overallotment liability [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (84,641)
Less: Overallotment liability [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (84,641)
Less: Overallotment liability [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (84,641)
Less: Overallotment liability [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (84,641)
Less: Amounts paid for redemptions [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (25,187,500) [2]
Less: Amounts paid for redemptions [Member] | Redemption at 25 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (28,965,625) [2]
Less: Amounts paid for redemptions [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (50,375,000) [2]
Less: Amounts paid for redemptions [Member] | Redemption at 50 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (57,931,250) [2]
Less: Amounts paid for redemptions [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (75,562,500) [2]
Less: Amounts paid for redemptions [Member] | Redemption at 75 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (86,896,875) [2]
Less: Amounts paid for redemptions [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ (100,750,000) [2]
Less: Amounts paid for redemptions [Member] | Redemption at 100 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Net Tangible Book Value, Adjusted | $ $ (115,862,500) [2]
Ordinary shares outstanding prior to this offering [Member] | No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Pre-transaction 3,833,333
Ordinary shares outstanding prior to this offering [Member] | No Redemption [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Pre-transaction 3,833,333
Ordinary shares outstanding prior to this offering [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Pre-transaction 3,833,333
Ordinary shares outstanding prior to this offering [Member] | Redemption at 25 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Pre-transaction 3,833,333
Ordinary shares outstanding prior to this offering [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Pre-transaction 3,833,333
Ordinary shares outstanding prior to this offering [Member] | Redemption at 50 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Pre-transaction 3,833,333
Ordinary shares outstanding prior to this offering [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Pre-transaction 3,833,333
Ordinary shares outstanding prior to this offering [Member] | Redemption at 75 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Pre-transaction 3,833,333
Ordinary shares outstanding prior to this offering [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Pre-transaction 3,833,333
Ordinary shares outstanding prior to this offering [Member] | Redemption at 100 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Pre-transaction 3,833,333
Ordinary shares forfeited if over-allotment is not exercised [Member] | No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (500,000)
Ordinary shares forfeited if over-allotment is not exercised [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (500,000)
Ordinary shares forfeited if over-allotment is not exercised [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (500,000)
Ordinary shares forfeited if over-allotment is not exercised [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (500,000)
Ordinary shares forfeited if over-allotment is not exercised [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (500,000)
Ordinary shares offered and sale of placement shares [Member] | No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 10,000,000
Ordinary shares offered and sale of placement shares [Member] | No Redemption [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 11,500,000
Ordinary shares offered and sale of placement shares [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 10,000,000
Ordinary shares offered and sale of placement shares [Member] | Redemption at 25 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 11,500,000
Ordinary shares offered and sale of placement shares [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 10,000,000
Ordinary shares offered and sale of placement shares [Member] | Redemption at 50 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 11,500,000
Ordinary shares offered and sale of placement shares [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 10,000,000
Ordinary shares offered and sale of placement shares [Member] | Redemption at 75 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 11,500,000
Ordinary shares offered and sale of placement shares [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 10,000,000
Ordinary shares offered and sale of placement shares [Member] | Redemption at 100 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 11,500,000
Representative Shares [Member] | No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 100,000
Representative Shares [Member] | No Redemption [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 115,000
Representative Shares [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 100,000
Representative Shares [Member] | Redemption at 25 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 115,000
Representative Shares [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 100,000
Representative Shares [Member] | Redemption at 50 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 115,000
Representative Shares [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 100,000
Representative Shares [Member] | Redemption at 75 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 115,000
Representative Shares [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 100,000
Representative Shares [Member] | Redemption at 100 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 115,000
Less: Ordinary shares redeemed [Member] | No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted
Less: Ordinary shares redeemed [Member] | No Redemption [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted
Less: Ordinary shares redeemed [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (2,500,000)
Less: Ordinary shares redeemed [Member] | Redemption at 25 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (2,875,000)
Less: Ordinary shares redeemed [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (5,000,000)
Less: Ordinary shares redeemed [Member] | Redemption at 50 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (5,750,000)
Less: Ordinary shares redeemed [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (7,500,000)
Less: Ordinary shares redeemed [Member] | Redemption at 75 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (8,625,000)
Less: Ordinary shares redeemed [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (10,000,000)
Less: Ordinary shares redeemed [Member] | Redemption at 100 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted (11,500,000)
Private Placement shares [Member] | No Redemption [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 310,000
Private Placement shares [Member] | No Redemption [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 336,250
Private Placement shares [Member] | Redemption at 25 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 310,000
Private Placement shares [Member] | Redemption at 25 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 336,250
Private Placement shares [Member] | Redemption at 50 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 310,000
Private Placement shares [Member] | Redemption at 50 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 336,250
Private Placement shares [Member] | Redemption at 75 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 310,000
Private Placement shares [Member] | Redemption at 75 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 336,250
Private Placement shares [Member] | Redemption at 100 Percent of Maximum [Member] | Without Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 310,000
Private Placement shares [Member] | Redemption at 100 Percent of Maximum [Member] | With Over- Allotment [Member]  
Number of Shares Used [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value per Share, Adjusted 336,250
[1] Expenses applied against gross proceeds include offering expenses of approximately $600,000 and underwriting commissions of $0.10 per unit, equal to 1% of the gross proceeds of this offering, or $1,000,000 in the aggregate (or up to $1,150,000 to the extent the underwriters’ over-allotment option is exercised in full), payable to the underwriters upon the closing of this offering. See “Use of Proceeds.”
[2] Upon consummation of the Company’s initial business combination, a fee equal to $3,500,000 (or up to $4,025,000 to the extent the underwriters exercise their over-allotment option in full) will be payable to the underwriters based on the total funds remaining in the trust account after redemptions. See the section of this prospectus entitled “Underwriting” for a description of compensation and other items of value payable to the underwriters.