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For the year ending 2025-12-31, CCXI has $415,909,532 in assets. $16,120,667 in debts.

Balance Sheets Overview

Current Ratio
813.33%
Quick Ratio
813.33%
Debt to Asset Ratio
3.88%
Unit: Dollar
Assets Breakdown
    • Marketable securities and cash h...
    • Cash
    • Prepaid insurance
    • Others
Liabilities Breakdown
    • Class a ordinary shares subject ...
    • Deferred underwriting fee payabl...
    • Accumulated deficit
    • Others

Balance Sheets
2025-12-31
Cash
736,204
Prepaid insurance
307,750
Prepaid expenses
18,800
Total current assets
1,062,754
Prepaid insurance long-term
296,995
Marketable securities and cash held in trust account
414,549,783
Total assets
415,909,532
Accrued expenses
55,667
Accrued offering costs
75,000
Total current liabilities
130,667
Deferred underwriting fee payable
15,990,000
Total liabilities
16,120,667
Class a ordinary shares subject to possible redemption, 41,400,000 shares at redemption value of 10.00 per share
414,000,000
Ordinary shares value-Common Class A
50
Ordinary shares value-Common Class B
1,380
Accumulated deficit
-14,212,565
Total shareholders deficit
-14,211,135
Total liabilities, class a ordinary shares subject to possible redemption and shareholders deficit
415,909,532
Unit: Dollar.

Time Plot

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

Balance Sheets

Cash$736,204 Prepaid insurance$307,750 Prepaid expenses$18,800 Marketable securities andcash held in trust...$414,549,783 Total current assets$1,062,754 Prepaid insurance long-term$296,995 Total assets$415,909,532 Accumulated deficit-$14,212,565 Total liabilities,class a ordinary...$415,909,532 Total shareholdersdeficit-$14,211,135 Ordinary sharesvalue-Common Class B$1,380 Ordinary sharesvalue-Common Class A$50 Class a ordinaryshares subject to...$414,000,000 Total liabilities$16,120,667 Deferred underwritingfee payable$15,990,000 Total currentliabilities$130,667 Accrued offering costs$75,000 Accrued expenses$55,667

Churchill Capital Corp XI (CCXI)

Churchill Capital Corp XI (CCXI)