Statement of Changes in Shares Subject to Possible Redemption and Stockholders' Equity (Deficit)
|
3 Months Ended |
|
Mar. 31, 2023
USD ($)
shares
|
| Shares Subject to Possible Redemption |
|
| Changes in Shares Subject to Possible Redemption |
|
| Balance at the beginning |
$ 83,694,573
|
| Balance at the beginning (in shares) | shares |
8,050,000
|
| Accretion of common shares subject to redemption |
$ 499,967
|
| Balance at the end |
$ 84,194,540
|
| Balance at the end (in shares) | shares |
8,050,000
|
| Common Stock |
|
| Changes in Stockholders' Equity (Deficit) |
|
| Balance at the beginning |
$ 211
|
| Balance at the beginning (in shares) | shares |
2,107,750
|
| Balance at the end |
$ 211
|
| Balance at the end (in shares) | shares |
2,107,750
|
| Additional Paid-in Capital |
|
| Changes in Stockholders' Equity (Deficit) |
|
| Balance at the beginning |
$ 189,479
|
| Accretion for common shares subject to redemption |
(499,967)
|
| Reclass of Additional paid in capital to accumulated deficit |
310,488
|
| Retained Earnings (Accumulated Deficit) |
|
| Changes in Stockholders' Equity (Deficit) |
|
| Balance at the beginning |
(129,061)
|
| Reclass of Additional paid in capital to accumulated deficit |
(310,488)
|
| Net Loss |
(143,753)
|
| Balance at the end |
(583,302)
|
| Balance at the beginning |
$ 83,694,573
|
| Balance at the beginning (in shares) | shares |
8,050,000
|
| Accretion of common shares subject to redemption |
$ (499,967)
|
| Balance at the end |
$ 84,194,540
|
| Balance at the end (in shares) | shares |
8,050,000
|
| Balance at the beginning |
$ 60,629
|
| Issuance of 2,012,500 common shares to initial stockholders (in shares) | shares |
2,012,500
|
| Accretion for common shares subject to redemption |
$ (499,967)
|
| Net Loss |
(143,753)
|
| Balance at the end |
$ (583,091)
|
| Balance at the end (in shares) | shares |
10,157,750
|