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Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2026
Fair Value Measurements [Abstract]  
Schedule of Investments Held in Trust Account

The Company’s investments held in the Trust Account, consisting of U.S. Treasury securities and/or money market funds, are classified as Level 1 financial instruments.

 

Description  Level   March 31,
2026
  

December 31,

2025

 
Assets:            
Marketable securities held in Trust account   1   $174,568,488   $172,778,783 
Schedule of Fair Value Determined Using Level 3 Input Unobservable Assumptions The fair value was determined using Level 3 input due to the use of unobservable assumptions related to the market adjustments as noted below:
  

November 28,

2025

 
Unit price  $10.03 
Stock price  $9.72 
Pre-adjusted value per right  $1.94 
Market adjustment(1)   16.0%

 

(1) The Market adjustment reflects additional factors, which may include the likelihood of Business Combination occurring, market perception of lack of available or suitable targets, or possible post-acquisition decline of stock price prior to beginning of the exercise period. The adjustment is determined by comparing traded Public Right prices to simulated model outputs. The market adjustment was determined by calibrating traded Public Rights prices as of the valuation dates.