| 2023年 12月31日 |
---|
Net income | 1 |
---|
Gain on investments (net), dividends and interest, held in Trust Account | 4 |
---|
Prepaid expenses and other assets | -81,900 |
---|
Accounts payable | 93,235 |
---|
Accrued expenses | 691,051 |
---|
Net cash used in operating activities | -2,020,097 |
---|
Trust Account withdrawal - redemption | 168 |
---|
Net cash provided by investing activities | 168 |
---|
Redemption of 16,437,487 Class A ordinary shares | 168 |
---|
Proceeds from notes payable - related party working capital loan | 2 |
---|
Proceeds from advances from sponsor | 241,414 |
---|
Net cash used in financing activities | -166,495,354 |
---|
Net change in cash | -278,683 |
---|
Deferred underwriting fees payable | -7,503,125 |
---|
Class A shares tendered for redemption | 9 |
---|