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10/2
NIKE, Inc.
(NKE)
10/2
DARDEN RESTAURANTS INC
(DRI)
9/30
CONAGRA BRANDS INC.
(CAG)
9/29
Carnival Corp Ltd.
(CCL)
9/29
URANIUM ENERGY CORP
(UEC)
9/29
COPART INC
(CPRT)
9/24
BLACKBERRY Ltd
(BB)
9/24
PAYCHEX INC
(PAYX)
9/23
GENERAL MILLS INC
(GIS)
9/22
ADOBE INC.
(ADBE)
9/18
KROGER CO
(KR)
10/2
NIKE, Inc.
(NKE)
10/2
DARDEN RESTAURANTS INC
(DRI)
9/30
CONAGRA BRANDS INC.
(CAG)
9/29
Carnival Corp Ltd.
(CCL)
9/29
URANIUM ENERGY CORP
(UEC)
9/29
COPART INC
(CPRT)
9/24
BLACKBERRY Ltd
(BB)
9/24
PAYCHEX INC
(PAYX)
9/23
GENERAL MILLS INC
(GIS)
9/22
ADOBE INC.
(ADBE)
9/18
KROGER CO
(KR)
EQV Ventures Acquisition Corp. II (EVAC)
EQV Ventures Acquisition Corp. II (EVAC)
Income Statement
|
Cash Flow
|
Balance Sheet
|
Ratios
|
Compare
Cash Flow Overview
Unit: Dollar
Positive Cash Flow Breakdown
Net income (loss)
Deferred legal fee payable
Prepaid insurance
Negative Cash Flow Breakdown
Interest earned on cash held in ...
Accrued expenses
Prepaid expenses
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Page 1
Quarterly
123
Page 1
Cash Flow
2026-06-30
2026-03-31
2025-09-30
2025-06-30
Cash beginning of period
-
712,349
0
-
Net income (loss)
3,993,543
-525,544
4,461,366
-49,377
Interest earned on cash held in trust account
4,338,720
-462,979
4,765,664
-
Payment of general and administrative costs through promissory note related party
-
-
-145,113
-
Fair value adjustment of warrants
-
-
-134,900
-
Prepaid expenses
46,000
-29,157
21,891
-
Prepaid insurance
-22,500
-180,000
157,500
-
Prepaid expenses
-
-
-
-3,451
Deferred legal fee payable
163,690
152,904
-
-
Accrued expenses
-153,531
97,283
4,822
10,437
Net cash used in operating activities
-358,518
386,566
-472,105
-35,489
Investment of cash into trust account
-
-
460,000,000
-
Cash withdrawn from trust account for working capital purposes
0
-500,000
-
-
Net cash provided by investing activities
0
460,500,000
-460,000,000
-
Proceeds from sale of units, net of underwriting discounts paid
-
-
454,121,430
-
Proceeds from sale of private placement units
-
-
7,878,570
-
Due from sponsor
-
-
-11,695
-
Proceeds from promissory note related party
-
-
0
236,000
Repayment of promissory noterelated party
-
-
236,000
-
Payment of offering costs
-
-
572,772
195,590
Net cash provided by financing activities
-
-
461,179,533
40,410
Net change in cash and cash equivalents
-358,518
-333,377
707,428
4,921
Cash and cash equivalents end of period
1,112,509
1,471,027
712,349
-
Page 1
Unit: Dollar. Numbers labeled with * are estimated quarterly values.
Page 1
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Time Plot
Show the time plot by selecting a row from the table.
Cash Flow
EVAC Cash Flow Sankey Diagram
Sankey diagram visualizing EVAC cash flow for the period
Net change in cash
and cash...
-$358,518
(-7385.47%↓ Y/Y)
Net income (loss)
$3,993,543
(8187.86%↑ Y/Y)
Deferred legal fee
payable
$163,690
Prepaid insurance
-$22,500
Net cash used in
operating activities
-$358,518
(-910.22%↓ Y/Y)
Canceled cashflow
$4,179,733
Interest earned on cash
held in trust account
$4,338,720
Accrued expenses
-$153,531
(-1571.03%↓ Y/Y)
Prepaid expenses
$46,000
(1432.95%↑ Y/Y)
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