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COMMITMENTS AND CONTINGENCIES (Details Narrative)
1 Months Ended 12 Months Ended
Dec. 21, 2023
USD ($)
Jul. 14, 2023
$ / shares
shares
Jul. 13, 2023
shares
May 18, 2023
shares
Apr. 13, 2023
USD ($)
shares
Feb. 23, 2022
$ / shares
shares
Dec. 31, 2023
USD ($)
$ / shares
shares
Dec. 31, 2023
USD ($)
$ / shares
shares
Dec. 26, 2023
$ / shares
Dec. 01, 2023
USD ($)
Jun. 28, 2023
USD ($)
Dec. 31, 2022
USD ($)
$ / shares
Product Liability Contingency [Line Items]                        
Maximum number of days available to underwriters to purchase units               45 days        
Underwriting cash discount per unit | $ / shares               $ 0.20        
Underwriter cash discount | $               $ 5,000,000        
Aggregate deferred underwriting fee payable | $               750,000        
Aggregate underwriter deferred portion | $               10,062,500        
Deferred Underwriting fee payable | $                 $ 10,812,500 $ 10,812,500
Aggregate underwriter cash discount | $               $ 750,000        
Deferred underwriting discount | $                     $ 10,812,500  
Number of shares agreed to transfer               750,000        
Number of non-redeemable transferable shares               750,000        
Fair value of non redeemable shares | $               $ 118,298        
Class A ordinary shares | $         $ 300,000              
Common stock, par value | $ / shares             $ 0.0001 $ 0.0001       $ 0.0001
Convertible Notes Payable [Member]                        
Product Liability Contingency [Line Items]                        
Interest rate                   15.00%    
Principal amount | $                   $ 2,000,000    
First Share Price Target [Member]                        
Product Liability Contingency [Line Items]                        
Description of trading activities               20 out of any 30 consecutive Trading Days        
Second Share PriceTarget [Member] | Secound Share Price Target [Member]                        
Product Liability Contingency [Line Items]                        
Description of trading activities               20 out of any 30 consecutive Trading Days during        
Merger Agreement [Member]                        
Product Liability Contingency [Line Items]                        
Share price | $ / shares             $ 12.50 $ 12.50        
Merger Agreement [Member] | First Commercial Sale [Member]                        
Product Liability Contingency [Line Items]                        
Sponsor earnout shares               1,000,000        
Sale percentage             0.002% 0.002%        
Merger Agreement [Member] | First Share Price Target [Member]                        
Product Liability Contingency [Line Items]                        
Sponsor earnout shares               1,000,000        
Share price | $ / shares             $ 12.50 $ 12.50        
Merger Agreement [Member] | Second Share PriceTarget [Member]                        
Product Liability Contingency [Line Items]                        
Sponsor earnout shares               1,000,000        
Share price | $ / shares             $ 15.00 $ 15.00        
Common Stock [Member]                        
Product Liability Contingency [Line Items]                        
Number of shares issued       26,946,271                
Common stock, par value | $ / shares                 $ 0.0001      
Common Stock [Member] | Merger Agreement [Member]                        
Product Liability Contingency [Line Items]                        
Sponsor earnout shares             6,000,000          
Merger Agreement [Member]                        
Product Liability Contingency [Line Items]                        
Business combination description               (a) $80,000,000 less (b) the amount by which Net Working Capital at Closing is less than $0, if any, less (c) Company Transaction Expenses, less (d) Company Indebtedness at Closing, less (e) the product of (i) the number of Rollover RSUs, multiplied by (ii) $10.00. Capitalized terms used herein have the meanings assigned in the Merger Agreement.        
Loan And Transfer Agreementt [Member]                        
Product Liability Contingency [Line Items]                        
Funded amount | $ $ 250,000                      
Interest rate 8.00%                      
Advisory Services Agreement [Member]                        
Product Liability Contingency [Line Items]                        
Sponsor fees | $               $ 2,000,000.0        
Advisory Services Agreement [Member] | Convertible Notes [Member]                        
Product Liability Contingency [Line Items]                        
Working capital loans             2,000,000          
Advisory Services Agreement [Member] | Working Capital Loans [Member]                        
Product Liability Contingency [Line Items]                        
Working capital loans             1,000,000          
Common Class A [Member]                        
Product Liability Contingency [Line Items]                        
Common stock, par value | $ / shares             $ 0.0001 $ 0.0001       $ 0.0001
Common Class A [Member] | Investment Advisory, Management and Administrative Service [Member]                        
Product Liability Contingency [Line Items]                        
Working capital loans     80,000   50,000              
Common Class A [Member] | Loan And Transfer Agreementt [Member]                        
Product Liability Contingency [Line Items]                        
Share price | $ / shares             $ 10.00 $ 10.00        
New Sponsor [Member] | Purchase Agreement [Member] | Private Placement Warrants [Member]                        
Product Liability Contingency [Line Items]                        
Number of shares issued   6,834,333                    
New Sponsor [Member] | Underwriting Agreement [Member] | Private Placement Warrants [Member]                        
Product Liability Contingency [Line Items]                        
Exercise price of warrant | $ / shares   $ 1.00                    
New Sponsor [Member] | Common Class A [Member] | Purchase Agreement [Member]                        
Product Liability Contingency [Line Items]                        
Number of shares issued   4,317,500                    
Sponsor [Member] | Merger Agreement [Member] | First Commercial Sale [Member]                        
Product Liability Contingency [Line Items]                        
Sponsor earnout shares               1,000,000        
Sponsor [Member] | Merger Agreement [Member] | First Share Price Target [Member]                        
Product Liability Contingency [Line Items]                        
Sponsor earnout shares               1,000,000        
Sponsor [Member] | Merger Agreement [Member] | Second Share PriceTarget [Member]                        
Product Liability Contingency [Line Items]                        
Sponsor earnout shares               1,000,000        
Measurement Input, Share Price [Member]                        
Product Liability Contingency [Line Items]                        
Fair value pricing model             0.15 0.15        
Measurement Input, Default Rate [Member]                        
Product Liability Contingency [Line Items]                        
Fair value pricing model             0.05 0.05        
Measurement Input, Option Volatility [Member]                        
Product Liability Contingency [Line Items]                        
Fair value pricing model             0.016 0.016        
Measurement Input, Discount Rate [Member]                        
Product Liability Contingency [Line Items]                        
Fair value pricing model             0.0414 0.0414        
Measurement Input, Price Volatility [Member]                        
Product Liability Contingency [Line Items]                        
Fair value pricing model             10.51 10.51        
Over-Allotment Option [Member]                        
Product Liability Contingency [Line Items]                        
Number of units sold           3,750,000   3,750,000        
IPO [Member]                        
Product Liability Contingency [Line Items]                        
Number of units sold           28,750,000            
Deferred fee per unit | $ / shares             $ 0.35 $ 0.35        
Aggregate underwriter deferred portion | $             $ 10,062,500          
Deferred Underwriting fee payable | $             $ 10,812,500 $ 10,812,500        
Exercise price of warrant | $ / shares           $ 11.50            
IPO [Member] | Private Placement Warrants [Member]                        
Product Liability Contingency [Line Items]                        
Share price | $ / shares           $ 1.50            
IPO [Member] | Common Class A [Member]                        
Product Liability Contingency [Line Items]                        
Number of shares issued           25,000,000