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Statements of Operations - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Formation and operating costs $ 6,741,998 $ 1,227,252
Loss from operations (6,741,998) (1,227,252)
Interest income from Trust Account 2,774,613 4,001,686
Interest income – note receivable, net of original issuance discount 750,000
Interest expense – note payable, net of original issuance discount (750,000)
Excess of fair value of Capital Contribution Note over proceeds at issuance (1,059,720)
Change in fair value of Convertible Promissory Note (118,117)
Change in fair value of Working Capital Loan (133,205)
Change in fair value of Capital Contribution Note (840,571)
Other income attributable to derecognition of deferred underwriting fees allocated to offering costs 482,662
Change in fair value of warrant liability (553,309) 8,841,922
Gain on initial recognition of Derivative Asset – Note Receivable 1,917,828
Change in fair value of Derivative Asset – Note Receivable 21,536
Loss on initial recognition of fair value of Derivative Asset – Note Payable (1,917,828)
Change in fair value of Derivative Liability – Note Payable (21,536)
Total other income (expenses), net 552,353 12,843,608
Net (loss) income $ (6,189,645) $ 11,616,356
Redeemable Class A Ordinary Shares    
Basic weighted average shares outstanding (in Shares) 5,792,672 30,000,000
Basic net (loss) income per share (in Dollars per share) $ (0.47) $ 0.31
Non-redeemable Class B Ordinary Shares    
Basic weighted average shares outstanding (in Shares) 7,500,000 7,500,000
Basic net (loss) income per share (in Dollars per share) $ (0.47) $ 0.31