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For the quarter ending 2025-09-30, EMCWF has $27,495,839 in assets. $33,674,492 in debts.

Balance Sheets Overview

Current Ratio
0.09%
Debt to Asset Ratio
122.47%
Assets Breakdown
    • Cash and investments held in tru...
    • Prepaid expenses
    • Cash
Liabilities Breakdown
    • Amount due to redeemed public sh...
    • Accumulated deficit
    • Deferred underwriter fee payable
    • Others

Unit: Dollar
Balance Sheets
2025-09-30
Cash
5,431
Prepaid expenses
21,250
Total current assets
26,681
Cash and investments held in trust account
27,469,158
Total assets
27,495,839
Accounts payable and accrued expenses
1,708,115
Due to related party
144,060
Due to third party
1,675,000
Convertible promissory note related party
851,112
Promissory note third party
58,077
Amount due to redeemed public shareholders
26,272,128
Total current liabilities
30,708,492
Deferred underwriter fee payable
2,966,000
Total liabilities
33,674,492
Ordinary shares subject to possible redemption, 126,388 shares (excluding 2,097,743 shares that have been redeemed but remained unpaid as of september 30, 2025) and 2,224,131 shares issued and outstanding at redemption value of 9.47 and 11.73 per share as of september 30, 2025 and december 31, 2024, respectively
1,197,030
Ordinary shares, par value 0.0001 500,000,000 shares authorized 2,295,893 (excluding 126,388 and 2,224,131 shares subject to redemption, respectively) issued and outstanding as of september 30, 2025 and december 31, 2024, respectively
230
Accumulated deficit
-7,375,913
Total stockholders deficit
-7,375,683
Total liabilities and stockholders deficit
27,495,839
Unit: Dollar

Time Plot

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

Balance Sheets

Prepaid expenses$21,250 Cash$5,431 Cash and investmentsheld in trust account$27,469,158 Total current assets$26,681 Total assets$27,495,839 Accumulated deficit-$7,375,913 Total liabilities andstockholders deficit$27,495,839 Total stockholdersdeficit-$7,375,683 Ordinary shares, parvalue 0.0001...$230 Ordinary shares subjectto possible...$1,197,030 Total liabilities$33,674,492 Deferred underwriter feepayable$2,966,000 Total currentliabilities$30,708,492 Amount due to redeemedpublic shareholders$26,272,128 Promissory note third party$58,077 Convertible promissory note related party$851,112 Due to third party$1,675,000 Due to related party$144,060 Accounts payable andaccrued expenses$1,708,115

Embrace Change Acquisition Corp. (EMCWF)

Embrace Change Acquisition Corp. (EMCWF)