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Blue Water Acquisition Corp. III (BLUWU)

Blue Water Acquisition Corp. III (BLUWU)

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Balance Sheets Overview

Current Ratio
112.74%
Quick Ratio
112.74%
Debt to Asset Ratio
3.74%
Unit: Dollar
Assets Breakdown
    • Cash and marketable securities h...
    • Cash
    • Prepaid expenses - current
    • Prepaid expenses - non-current
Liabilities Breakdown
    • Class a ordinary shares subject ...
    • Accumulated deficit
    • Deferred underwriter fee liabili...
    • Others

Balance Sheets
2026-03-31
2025-12-31
2025-09-30
2025-06-30
Cash
420,414 NaN 759,229 NaN
Prepaid expenses - current
75,400 81,145 81,145 14,100
Due from related party-Related Party
NaN NaN 28,715 28,715
Cash
NaN NaN NaN 1,039,666
Deferred offering costs
NaN NaN NaN 0
Total current assets
495,814 81,145 869,089 1,082,481
Cash and marketable securities held in trust account
261,075,080 258,796,563 256,272,459 253,556,881
Prepaid expenses - non-current
14,667 33,259 52,264 NaN
Total non-current assets
261,089,747 258,829,822 256,324,723 253,556,881
Total assets
261,585,561 258,910,967 257,193,812 254,639,362
Administrative Services Fee
NaN NaN NaN 6,333
Administrative services fee related party
NaN NaN NaN 6,333
Due to related party-Related Party
NaN NaN 8,905 8,905
Accounts payable
28,770 71,184 42,292 9,932
Promissory note related party-Related Party
NaN NaN NaN 0
Advisory fee payable - related party
15,000 15,000 NaN NaN
Accrued expenses
145,645 103,965 204,275 4,252
Accrued offering costs
NaN NaN NaN 0
Administrative services fee related party-Related Party
NaN NaN 36,333 NaN
Due to related party
250,371 NaN NaN NaN
Total current liabilities
439,786 190,149 291,805 29,422
Working capital note - related party
500,000 NaN NaN NaN
Deferred underwriter fee liability
8,855,000 8,855,000 8,855,000 8,855,000
Total non-current liabilities
9,355,000 8,855,000 8,855,000 8,855,000
Total liabilities
9,794,786 9,045,149 9,146,805 8,884,422
Class a ordinary shares subject to possible redemption 25,300,000 and 0 shares issued and outstanding subject to possible redemption, at redemption value, as of september 30, 2025 and december 31, 2024, respectively
NaN NaN 256,272,459 253,556,881
Class a ordinary shares subject to possible redemption 25,300,000 shares issued and outstanding subject to possible redemption, at redemption value, as of march 31, 2026 and december 31, 2025
261,075,080 258,796,563 NaN NaN
Common stock, value-Common Class A
NaN NaN 68 NaN
Ordinary shares, value-Classa Ordinary Shares Not Subject To Possible Redemption
68 68 NaN NaN
Ordinary shares, value-Common Class B
633 633 633 NaN
Accumulated deficit
-9,285,006 -8,931,446 -8,226,153 NaN
Total shareholders' deficit
-9,284,305 -8,930,745 -8,225,452 NaN
Total liabilities, ordinary subject to possible redemption and shareholders' deficit
261,585,561 258,910,967 257,193,812 254,639,362
Unit: Dollar. Numbers labeled with * are estimated quarterly values.

Time Plot

Show the time plot by selecting a row from the table.

Balance Sheets

Cash and marketablesecurities held in trust...$261,075,080 Prepaid expenses -non-current$14,667 Cash$420,414 Prepaid expenses -current$75,400 Total non-currentassets$261,089,747 Total current assets$495,814 Total assets$261,585,561 Accumulated deficit-$9,285,006 Total liabilities,ordinary subject to...$261,585,561 Total shareholders'deficit-$9,284,305 Ordinary shares,value-Common Class B$633 Ordinary shares,value-Classa Ordinary Shares...$68 Class a ordinaryshares subject to...$261,075,080 Total liabilities$9,794,786 Total non-currentliabilities$9,355,000 Total currentliabilities$439,786 Deferred underwriter feeliability$8,855,000 Working capital note -related party$500,000 Due to related party$250,371 Accrued expenses$145,645 Accounts payable$28,770 Advisory fee payable -related party$15,000