Quarterly report pursuant to Section 13 or 15(d)

Condensed Interim Statement of Stockholders' Equity

v2.4.0.6
Condensed Interim Statement of Stockholders' Equity (USD $)
3 Months Ended 11 Months Ended 14 Months Ended
Mar. 31, 2012
Dec. 31, 2011
Mar. 31, 2012
Proceeds subject to possible redemption of 17,856,407 shares   $ (178,278,367)  
Underwriters' discount and offering expenses   (11,140,311)  
Proceeds from private placement of 7,000,000 warrants on May 18, 2011   5,250,000  
Net loss (297,325) (781,319) (1,078,644)
Change in shares subject to possible redemption to 17,826,627 shares 297,323    
Ending Balances 5,000,001 5,000,003 5,000,001
Issuance During Period 1st | Sponsor
     
Sale of common stock   25,000  
Issuance During Period 2nd | IPO
     
Sale of common stock   189,925,000  
Common Stock
     
Forfeiture of common stock issued to Sponsor (in shares)   (248,598)  
Forfeiture of common stock issued to Sponsor   (25)  
Ending Balances (in shares) 23,161,585 23,161,585 23,161,585
Ending Balances 2,316 2,316 2,316
Common Stock | Issuance During Period 1st | Sponsor
     
Sale of common stock (in shares)   4,417,683  
Sale of common stock   442  
Common Stock | Issuance During Period 2nd | IPO
     
Sale of common stock (in shares)   18,992,500  
Sale of common stock   1,899  
Additional Paid-in Capital
     
Forfeiture of common stock issued to Sponsor   25  
Proceeds subject to possible redemption of 17,856,407 shares   (178,278,367)  
Underwriters' discount and offering expenses   (11,140,311)  
Proceeds from private placement of 7,000,000 warrants on May 18, 2011   5,250,000  
Change in shares subject to possible redemption to 17,826,627 shares 297,323    
Ending Balances 6,076,329 5,779,006 6,076,329
Additional Paid-in Capital | Issuance During Period 1st | Sponsor
     
Sale of common stock   24,558  
Additional Paid-in Capital | Issuance During Period 2nd | IPO
     
Sale of common stock   189,923,101  
Deficit Accumulated During the Development Stage
     
Net loss (297,325) (781,319)  
Ending Balances $ (1,078,644) $ (781,319) $ (1,078,644)