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BALANCE SHEETS - USD ($)
Dec. 31, 2023
Dec. 31, 2022
Current assets    
Cash $ 395,011 $ 989
Prepaid assets 0 168,350
Total Current Assets 395,011 169,339
Cash Held in Trust Account 310,623,083 300,330,651
TOTAL ASSETS 311,018,094 300,499,990
Current liabilities    
Accrued expenses 47,104,743 18,054,912
Convertible note payable Sponsor 3,883,945 2,875,000
Convertible note payable 500,000 0
Income taxes payable 1,790,081 979,475
Franchise tax payable 458,226 400,000
Convertible working capital loans $ 2,398,700 $ 625,700
Other Liability, Current, Related Party, Type [Extensible Enumeration] Related Party [Member] Related Party [Member]
Advances - related party $ 41,000 $ 525,835
Total Current Liabilities 56,176,695 23,460,922
Deferred underwriter fee payable 10,062,500 10,062,500
TOTAL LIABILITIES 66,239,195 33,523,422
Commitments and Contingencies
Class A common stock subject to possible redemption, $0.0001 par value, 200,000,000 shares authorized; 28,715,597 and 28,744,342 shares outstanding, at redemption value ($10.75 and $10.40 per share), respectively 308,645,005 298,951,176
Stockholders' Deficit    
Preferred stock, $0.0001 par value; 1,000,000 shares authorized; none issued and outstanding
Additional paid-in capital 0 0
Accumulated deficit (63,866,949) (31,975,454)
Total Stockholders' Deficit (63,866,106) (31,974,608)
TOTAL LIABILITIES, REDEEMABLE COMMON STOCK AND STOCKHOLDERS' DEFICIT 311,018,094 300,499,990
Class A Common Stock Subject to Redemption [Member]    
Stockholders' Deficit    
Common Stock 127 127
Common Class B [Member]    
Stockholders' Deficit    
Common Stock $ 716 $ 719