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STATEMENTS OF CASH FLOWS - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
CASH FLOWS FROM OPERATING ACTIVITIES:    
Net income $ 7,120,609 $ 11,758,533
Adjustments to reconcile net income to net cash used in operating activities:    
Change in derivative warrant liabilities (188,450) (9,119,050)
Interest income earned on investment held in Trust Account (8,804,012) (3,631,005)
Forgiveness of deferred underwriting fee payable (481,275) 0
Service administrative fees 60,000 0
Share based compensation 35,535 0
Changes in operating assets and liabilities:    
Prepaid expenses 41,280 308,398
Accounts payable 139,310 (32,027)
Accrued expenses 325,178 155,705
Net cash used in operating activities (1,751,825) (559,446)
CASH FLOWS FROM INVESTING ACTIVITIES:    
Cash withdrawal from Trust Account 130,320,660 0
Cash deposited into Trust Account (750,000) 0
Net cash provided by investing activities 129,570,660 0
CASH FLOWS FROM FINANCING ACTIVITIES:    
Redemptions of Class A ordinary shares (130,320,660) 0
Proceeds from promissory note - related party 2,000,000 0
Proceeds from Prior Sponsor 350,596 0
Payment of offering costs 0 (85,000)
Net cash used in financing activities (127,970,064) (85,000)
NET DECREASE IN CASH (151,229) (644,446)
CASH BEGINNING OF PERIOD 587,546 1,231,992
CASH END OF PERIOD 436,317 587,546
SUPPLEMENTAL DISCLOSURE OF NON-CASH ACTIVITIES:    
Initial fair value adjustment Prior Sponsor Working Capital Loan Promissory Note 99,976 0
Forgiveness of Prior Sponsor Working Capital Loan Promissory Note 58,992 0
Forgiveness of administrative support fees 204,516 0
Forgiveness of deferred underwriting fee payable allocated to additional paid in capital 9,868,725 0
Remeasurement of Class A ordinary shares to redemption amount $ 9,554,011 $ 3,631,005