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For the quarter ending 2025-09-30, CTSWF has $9,305K in assets. $8K in cash and cash equivalents.

Balance Sheets Overview

Current Ratio
1.53%
Cash Ratio
0.29%
Assets Breakdown
    • Cash held in trust account
    • Prepaid expenses
    • Cash and cash equivalents
Liabilities Breakdown
    • Class a ordinary shares subject ...
    • Accumulated deficit
    • Accrued expenses and other liabi...
    • Others

Unit: Thousand (K) dollars (except for numbers of shares and EPS)
Balance Sheets
2025-09-30
Cash and cash equivalents
8
Prepaid expenses
34
Total current assets
42
Cash held in trust account
9,263
Total assets
9,305
Accrued expenses and other liabilities
1,037
Sponsor loan
836
Promissory notes
880
Total current liabilities
2,753
Class a ordinary shares subject to possible redemption 763,572 shares at september 30, 2025 and december 31, 2024, at a redemption value of 12.13 per share and 11.76 per share, respectively
9,263
Additional paid in capital
2
Accumulated deficit
-2,713
Total capital deficiency
-2,711
Total liabilities, shares subject to possible redemption and capital deficiency
9,305
Unit: Thousand (K) dollars

Time Plot

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

Balance Sheets

Prepaid expenses$34K Cash and cashequivalents$8K Cash held in trustaccount$9,263K Total current assets$42K Total assets$9,305K Accumulated deficit-$2,713K Total liabilities,shares subject to...$9,305K Total capitaldeficiency-$2,711K Additional paid in capital$2K Class a ordinaryshares subject to...$9,263K Total currentliabilities$2,753K Promissory notes$880K Sponsor loan$836K Accrued expenses andother liabilities$1,037K

Cactus Acquisition Corp. 1 Ltd (CTSWF)

Cactus Acquisition Corp. 1 Ltd (CTSWF)