| Cash Flow | 2025-09-30 | 2025-06-30 | 2024-09-30 |
|---|---|---|---|
| Net loss | -1,662,278 | -357,847 | -1,359,371 |
| Change in fair value of derivative liabilities | 1,014,300 | -55,120 | -108,040 |
| Change in fair value of contingently issuable private placement warrants | 52,900 | -2,875 | 5,635 |
| Income from investments held in trust account | 168,010 | 111,291 | 636,883 |
| Prepaid expenses | 12,566 | -22,800 | 53,598 |
| Accounts payable | 96,987 | 73,957 | 757,828 |
| Accrued expenses | 267,740 | 156,828 | 551,841 |
| Net cash used in operating activities | -410,927 | -273,548 | -626,508 |
| Cash withdrawn from trust account in connection with redemption | - | 0 | 34,530,235 |
| Cash deposited in trust account | 41,016 | 27,344 | 47,500 |
| Net cash (used in) provided by investing activities | -41,016 | -27,344 | 34,482,735 |
| Redemption of class a ordinary shares | - | 0 | - |
| Proceeds from senior note | 1,000,000 | - | - |
| Proceeds received from sponsor for trust account contribution | 41,016 | 27,344 | 47,500 |
| Proceeds from exchange note | - | - | 188,000 |
| Repayment of bridge financing note | 40,000 | 40,000 | - |
| Proceeds from convertible note related party | 322,654 | 186,806 | 863,235 |
| Redemption of class a ordinary shares | - | - | 34,530,235 |
| Proceeds from fulton ac note | - | 0 | - |
| Net cash provided by (used in) financing activities | 1,323,670 | 174,150 | -33,431,500 |
| Net change in cash | 871,727 | -126,742 | 424,727 |
| Cash and cash equivalents at beginning of period | 129,598 | - | 3,898 |
| Cash and cash equivalents at end of period | 1,001,325 | - | 428,625 |
Chain Bridge I (CBGGF)
Chain Bridge I (CBGGF)