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Condensed Statements of Cash Flows (Unaudited) - USD ($)
3 Months Ended
Mar. 31, 2024
Mar. 31, 2023
Cash Flows from Operating Activities:    
Net income (loss) $ 372,368 $ (249,591)
Adjustments to reconcile net income (loss) to net cash used in by operating activities:    
Stock-based compensation expense 207,087
Interest earned on marketable securities held in Trust Account (953,592)
Unrealized gain on marketable securities held in Trust Account 3,973
Deferred benefit from income taxes (141,803) (10,500)
Changes in operating assets and liabilities:    
Prepaid expenses 32,301 (33,629)
Prepaid insurance 25,681
Accounts payable and accrued expenses 148,243 51,194
Income taxes payable 330,723
Net cash used in operating activities (182,106) (35,439)
Cash Flows from Investing Activities:    
Cash withdrawn from Trust Account to pay franchise taxes 152,927
Investment of cash into Trust Account (70,380,000)
Extension deposit into Trust Account (690,000)
Net cash used in investing activities (537,073) (70,380,000)
Cash Flows from Financing Activities:    
Proceeds from sale of units, net of underwriting discounts paid 67,965,000
Proceeds from sale of private placement units 3,945,000
Proceeds from promissory note – related party 690,000 100,085
Payment of offering costs (578,135)
Net cash provided by financing activities 690,000 71,431,950
Net Change in Cash (29,179) 1,016,511
Cash – Beginning of period 607,816 34,393
Cash – End of period 578,637 1,050,904
Non-Cash investing and financing activities:    
Offering costs included in accrued offering costs 78,500
Remeasurement of carrying value to redemption value 1,400,699 6,007,229
Deferred underwriting fee payable $ 2,070,000