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Cash withdrawn from
trust account to...
$7,937,810
Net cash provided by
investing activities
$7,841,534
Canceled cashflow
$96,276
Net change in cash
-$95,362
Canceled cashflow
$7,841,534
Proceeds from working
capital loan - related...
$693,235
Proceeds from promissory
note for extensions-...
$96,276
Change in fair value of
warrant liabilities
$4,908,250
Franchise taxes payable
$17,752
Investment of cash in trust
account
$96,276
Net cash (used in)
financing activities
-$7,148,299
Canceled cashflow
$789,511
Net cash used in
operating activities
-$788,597
Canceled cashflow
$4,926,002
Redemptions of common stock
$7,937,810
Net loss
-$5,582,198
Interest on cash held in
trust account
$68,897
Prepaid expenses and
other liabilities
$39,871
Accounts payable and
accrued expenses
-$23,633
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Cash Flow
source: myfinsight.com
Breeze Holdings Acquisition Corp. (BRZH)
Breeze Holdings Acquisition Corp. (BRZH)