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Proceeds from sale of
public units, net of...
$407,790,000
Underwriters reimbursement
$4,710,000
Proceeds from sale of
private placement units
$3,500,000
Net cash provided by
financing activities
$415,336,348
Canceled cashflow
$663,652
Net change in cash
$578,224
Canceled cashflow
$414,758,124
Payment of offering
costs
$378,514
Repayment of ipo
promissory note - related...
$285,138
Net income
$2,238,110
Payment of general and
administrative costs through...
$58,670
Prepaid expenses
applied to general and...
$4,503
Accrued expenses
$3,561
Net cash used in
investing activities
-$414,000,000
Net cash used in
operating activities
-$758,124
Canceled cashflow
$2,304,844
Investment of cash into
trust account
$414,000,000
Interest earned on
marketable securities and...
$2,522,490
Prepaid expenses
$294,873
Lt prepaid
insurance
-$245,605
Back
Back
Cash Flow
Churchill Capital Corp XII (CXIIW)
Churchill Capital Corp XII (CXIIW)
source: myfinsight.com