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For the quarter ending 2026-03-31, CBRGF has $941,330 in assets. $4,475,370 in debts.

Balance Sheets Overview

Current Ratio
13.57%
Quick Ratio
13.57%
Debt to Asset Ratio
475.43%
Unit: Dollar
Assets Breakdown
    • Investments held in trust accoun...
    • Cash
    • Prepaid expenses
Liabilities Breakdown
    • Accumulated deficit
    • Senior note, net
    • Bridge financing note
    • Others

Balance Sheets
2026-03-31
2025-12-31
2025-09-30
2025-06-30
Cash
136,637 390,255 1,001,325 2,856
Prepaid expenses
29,845 26,850 40,566 5,200
Total current assets
166,482 417,105 1,041,891 8,056
Investments held in trust account
774,848 766,224 5,494,086 5,423,696
Total assets
941,330 1,183,329 6,535,977 5,431,752
Accounts payable
367,549 429,655 430,748 407,719
Accrued expenses
839,509 795,987 758,271 677,359
Accrued expenses related party
20,000 -210,000 180,000
Total current liabilities
1,227,058 1,225,642 1,399,019 1,265,078
Exchange note related party
368,680 368,680 627,096 491,248
Bridge financing note
1,023,235 1,023,235 1,023,235 1,023,235
Senior note, net
1,160,397 1,078,066 1,000,000 -
Derivative liabilities
661,500 557,870 1,102,500 33,080
Contingently issuable private placement warrants
34,500 29,095 57,500 1,725
Total liabilities
4,475,370 4,282,588 5,209,350 2,814,366
Class a ordinary shares subject to possible redemption 0.0001 par value 62,590 shares at redemption value of approximately 12.380 and 12.242 per share at march 31, 2026 and december 31, 2025, respectively
774,848 766,224 5,494,086 5,423,696
Ordinary shares, value-Common Class A
256 256 256 256
Ordinary shares, value-Common Class B
319 319 319 319
Additional paid-in capital
---0
Accumulated deficit
-4,309,463 -3,866,058 -4,168,034 -2,806,885
Total shareholders deficit
-4,308,888 -3,865,483 -4,167,459 -2,806,310
Total liabilities, class a ordinary shares subject to possible redemption and shareholders deficit
941,330 1,183,329 6,535,977 5,431,752
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$136,637 Prepaid expenses$29,845 Investments held in trustaccount$774,848 Total current assets$166,482 Total assets$941,330 Accumulated deficit-$4,309,463 Total liabilities,class a ordinary...$941,330 Total shareholdersdeficit-$4,308,888 Ordinary shares,value-Common Class B$319 Ordinary shares,value-Common Class A$256 Total liabilities$4,475,370 Class a ordinaryshares subject to...$774,848 Total currentliabilities$1,227,058 Senior note, net$1,160,397 Bridge financing note$1,023,235 Derivative liabilities$661,500 Exchange note relatedparty$368,680 Contingently issuableprivate placement...$34,500 Accrued expenses$839,509 Accounts payable$367,549 Accrued expenses related party$20,000

Chain Bridge I (CBRGF)

Chain Bridge I (CBRGF)