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SCHEDULE OF ELEMENTS OF BUSINESS COMBINATION (Details) - Stardust Power Inc And Subsidiary [Member]
3 Months Ended
Sep. 30, 2024
USD ($)
Cash proceeds from GPAC II, net of redemptions $ 1,564,086
Cash proceeds from PIPE financing 10,075,002
Less: Cash payment of assumed liabilities of GPAC II (921,493)
Less: Settlement of sponsor promissory notes (1,562,834)
Net cash proceeds upon closing of the Business Combination and PIPE financing 9,154,761
Less: Non-cash net liabilities assumed from GPAC II (14,638,215)
Net charge to additional paid-in-capital as a result of the Business Combination reported in stockholder’s (deficit) $ (5,483,454)