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Statements of Changes in Shareholders' Deficit - USD ($)
Common Class A [Member]
Common Stock [Member]
Common Class B [Member]
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
Subscription Receivable [Member]
Total
Balance at Nov. 30, 2021 $ 288 $ 24,712 $ (4,860) $ (25,000) $ (4,860)
Balance, shares at Nov. 30, 2021 2,875,000        
Re-measurement for ordinary share to redemption amount (1,325,563)   (1,326,563)
Net Income 906,058 906,058
Cash collected on subscription receivable 25,000 25,000
Sale of Units in Initial Public Offering $ 1,150 114,998,850 115,000,000
Sale of Units in Initial Public Offering, shares 11,500,000          
Class A Ordinary Shares subject to possible redemption $ (1,150) (116,723,850) (116,725,000)
Class A Ordinary Shares subject to possible redemption, shares (11,500,000)          
Sale of Private Placement Units $ 53 5,324,947 5,325,000
Sale of Private Placement Units, shares 532,500          
Offering and Underwriting costs (2,807,887) (2,807,887)
Deferred underwriting commission (4,025,000) (4,025,000)
Re-classification 3,208,228 (3,208,228)
Balance at Nov. 30, 2022 $ 53 $ 288 (3,633,593) (3,633,252)
Balance, shares at Nov. 30, 2022 532,500 2,875,000        
Re-measurement for ordinary share to redemption amount (5,016,986)   (5,016,986)
Additional amount deposited into trust ($0.1 per common stock subject to possible redemption) (2,940,000)   (2,940,000)
Net Income 3,673,548 3,673,548
Balance at Nov. 30, 2023 $ 53 $ 288 $ (7,917,031) $ (7,916,690)
Balance, shares at Nov. 30, 2023 532,500 2,875,000