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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)
GigCapital8 Corp. (GIWWU)
GigCapital8 Corp. (GIWWU)
Income Statement
|
Cash Flow
|
Balance Sheet
|
Ratios
|
Compare
Cash Flow Overview
Change in Cash
-$335,380
Unit: Dollar
Positive Cash Flow Breakdown
Net income (loss)
Prepaid expenses and other curre...
Other assets
Negative Cash Flow Breakdown
Interest and dividends earned on...
Related party payable
Accrued liabilities
Accounts payable
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Page 1
Quarterly
123
Page 1
Cash Flow
2026-06-30
2026-03-31
2025-12-31
Net income (loss)
1,991,819
1,943,768
1,831,322
Interest and dividends earned on cash and marketable securities held in trust account
2,280,999
2,254,569
2,267,683
Prepaid expenses and other current assets
-43,670
39,634
141,594
Other assets
-17,620
-17,621
53,808
Accounts payable
-7,889
-88,130
123,250
Related party payable
-64,793
26,777
42,242
Accrued liabilities
-34,808
3,130
35,870
Net cash used in operating activities
-335,380
-391,037
-430,401
Investment of cash in trust account
-
-
253,000,000
Net cash used in investing activities
-
-
-253,000,000
Proceeds from the sale of class b ordinary shares to the founder
-
-
25,000
Proceeds from sale of public units, net of underwriting discount paid
-
-
251,975,000
Proceeds from sale of private investor shares and private placement units
-
-
3,453,892
Proceeds from related party loan
-
-
100,000
Repayment of related party loan
-
-
2,626
Payment of offering costs
-
-
678,394
Net cash provided by financing activities
-
-
254,872,872
Net decrease in cash
-335,380
-391,037
1,442,471
Cash at beginning of period
1,051,434
1,442,471
-
Cash at end of period
716,054
1,051,434
1,442,471
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
GIWWU Cash Flow Sankey Diagram
Sankey diagram visualizing GIWWU cash flow for the period
Net decrease in cash
-$335,380
Net income (loss)
$1,991,819
Prepaid expenses and
other current assets
-$43,670
Other assets
-$17,620
Net cash used in
operating activities
-$335,380
Canceled cashflow
$2,053,109
Interest and dividends
earned on cash and...
$2,280,999
Related party payable
-$64,793
Accrued liabilities
-$34,808
Accounts payable
-$7,889
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