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S-K 1602(c) Dilution
Aug. 18, 2025
USD ($)
$ / shares
shares
No exercise of over-allotment option [Member]  
Net Tangible Book Value Per Share [Line Items]  
Registered Offering Price per Share (in Dollars per share) | $ / shares $ 10
Net Tangible Book Value, Pre-transaction, Per Share (in Dollars per share) | $ / shares (0.03)
Net Tangible Book Value, Adjusted, per Share (in Dollars per share) | $ / shares (1.16)
Net Tangible Book Value Amount of Dilution, Per Share (in Dollars per share) | $ / shares 11.16
No exercise of over-allotment option [Member] | Public Shareholders [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value, Adjusted, per Share (in Dollars per share) | $ / shares (1.13)
Exercise of over-allotment option in full [Member]  
Net Tangible Book Value Per Share [Line Items]  
Registered Offering Price per Share (in Dollars per share) | $ / shares 10
Net Tangible Book Value, Pre-transaction, Per Share (in Dollars per share) | $ / shares (0.03)
Net Tangible Book Value, Adjusted, per Share (in Dollars per share) | $ / shares (1.11)
Net Tangible Book Value Amount of Dilution, Per Share (in Dollars per share) | $ / shares 11.11
Exercise of over-allotment option in full [Member] | Public Shareholders [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value, Adjusted, per Share (in Dollars per share) | $ / shares $ (1.09)
Without Over- allotment [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value $ (5,776,520)
Number of Shares Used to Determine Net Tangible Book Value Adjusted (in Shares) | shares 5,000,000
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share (in Shares) | shares (750,000)
Without Over- allotment [Member] | Net tangible book deficit before this offering [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted $ (178,520)
Without Over- allotment [Member] | Net proceeds from this offering and sale of the private placement warrants [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted 150,500,000
Without Over- allotment [Member] | Plus: Offering costs paid in advance, excluded from tangible book value before this offering [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted 190,000
Without Over- allotment [Member] | Less: Over-allotment liability [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted (288,000)
Without Over- allotment [Member] | Less: Deferred underwriting commissions [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted (6,000,000)
Without Over- allotment [Member] | Less: Proceeds held in trust subject to redemption [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted $ (150,000,000)
Without Over- allotment [Member] | Class B ordinary shares outstanding prior to this offering [Member]  
Net Tangible Book Value Per Share [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value Adjusted (in Shares) | shares 5,750,000
Without Over- allotment [Member] | Class A ordinary shares included in the units offered [Member]  
Net Tangible Book Value Per Share [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value Adjusted (in Shares) | shares 15,000,000
Without Over- allotment [Member] | Less: Ordinary shares subject to redemption [Member]  
Net Tangible Book Value Per Share [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value Adjusted (in Shares) | shares (15,000,000)
With Over- allotment [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value $ (6,388,520)
Number of Shares Used to Determine Net Tangible Book Value Adjusted (in Shares) | shares 5,750,000
Number of Shares Used to Determine Net Tangible Book Value Pre-transaction Per Share (in Shares) | shares
With Over- allotment [Member] | Net tangible book deficit before this offering [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted $ (178,520)
With Over- allotment [Member] | Net proceeds from this offering and sale of the private placement warrants [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted 173,000,000
With Over- allotment [Member] | Plus: Offering costs paid in advance, excluded from tangible book value before this offering [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted 190,000
With Over- allotment [Member] | Less: Over-allotment liability [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted
With Over- allotment [Member] | Less: Deferred underwriting commissions [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted (6,900,000)
With Over- allotment [Member] | Less: Proceeds held in trust subject to redemption [Member]  
Net Tangible Book Value Per Share [Line Items]  
Net Tangible Book Value Adjusted $ (172,500,000)
With Over- allotment [Member] | Class B ordinary shares outstanding prior to this offering [Member]  
Net Tangible Book Value Per Share [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value Adjusted (in Shares) | shares 5,750,000
With Over- allotment [Member] | Class A ordinary shares included in the units offered [Member]  
Net Tangible Book Value Per Share [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value Adjusted (in Shares) | shares 17,250,000
With Over- allotment [Member] | Less: Ordinary shares subject to redemption [Member]  
Net Tangible Book Value Per Share [Line Items]  
Number of Shares Used to Determine Net Tangible Book Value Adjusted (in Shares) | shares (17,250,000)