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Cash Flow Overview

Change in Cash
$72,980,000
Unit: Dollar
Positive Cash Flow Breakdown
    • Proceeds from business combinati...
    • Maturities of available-for-sale...
    • Stock-based compensation expense
    • Others
Negative Cash Flow Breakdown
    • Purchases of available-for-sale ...
    • Net loss
    • Payment of offering costs
    • Others

Cash Flow
2026-03-31
2025-12-31
Net loss
-30,263,000 -66,931,068
Depreciation and amortization expense
948,000 NaN
Stock-based compensation expense
8,293,000 NaN
Payment of formation costs through issuance of classb ordinary shares
NaN 0
Change in fair value of contingent obligation
-631,000 NaN
Payment of operating costs through promissory note
NaN 36,839
Other non-cash operating adjustments
742,000 NaN
Subscription agreement expense
NaN 6,044,986
Accounts receivable
-2,658,000 NaN
Change of fair value of subscription agreement liability
NaN 69,585,366
Unbilled receivables
255,000 NaN
Income earned on cash and marketable securities held in trust
NaN 10,689,503
Inventories
570,000 NaN
Prepaid expenses and other current assets
-181,000 -29,000
Other assets
-35,000 NaN
Prepaid insurance
NaN 428,572
Accounts payable
-1,915,000 NaN
Accrued liabilities
-216,000 80,223
Contract liabilities
2,071,000 NaN
Operating lease right-of-use assets
189,000 NaN
Operating lease right-of-use liabilities
-204,000 NaN
Net cash used in operating activities
-19,159,000 -2,272,729
Purchases of available-for-sale securities
444,153,000 NaN
Investment of cash into trust account
NaN 414,000,000
Maturities of available-for-sale securities
11,400,000 NaN
Cash withdrawn from trust account for working capital purposes
NaN 1,000,000
Purchases of property and equipment
312,000 NaN
Net cash used in investing activities
-433,065,000 -413,000,000
Proceeds from sale of public units
NaN 414,000,000
Proceeds from stock options exercised
771,000 NaN
Proceeds from sale of private placement units
NaN 3,000,000
Payment of offering costs
-3,306,000 NaN
Repayment of promissory noterelated party
NaN 420,673
Proceeds from business combination, net of redemptions
528,166,000 NaN
Payment of offering costs
NaN 604,444
Payment of deferred cash consideration
475,000 NaN
Net cash provided by (used in) financing activities
525,156,000 415,974,883
Foreign currency translation
48,000 NaN
Net increase (decrease) in cash and cash equivalents and restricted cash
72,980,000 702,154
Cash, cash equivalents and restricted cash at beginning of period
11,894,000 0
Cash, cash equivalents and restricted cash at end of period
84,874,000 702,154
Unit: Dollar. Numbers labeled with * are estimated quarterly values.

Time Plot

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

Cash Flow

Proceeds from businesscombination, net of...$528,166,000 Proceeds from stockoptions exercised$771,000 Net cash provided by(used in) financing...$525,156,000 Foreign currencytranslation$48,000 Canceled cashflow$3,781,000 Net increase(decrease) in cash and cash...$72,980,000 Canceled cashflow$452,224,000 Payment of offeringcosts-$3,306,000 Payment of deferred cashconsideration$475,000 Maturities ofavailable-for-sale securities$11,400,000 Stock-based compensationexpense$8,293,000 Accounts receivable-$2,658,000 Contract liabilities$2,071,000 Depreciation andamortization expense$948,000 Change in fair value ofcontingent obligation-$631,000 Operating leaseright-of-use assets$189,000 Prepaid expenses andother current assets-$181,000 Other assets-$35,000 Net cash used ininvesting activities-$433,065,000 Net cash used inoperating activities-$19,159,000 Canceled cashflow$11,400,000 Canceled cashflow$15,006,000 Purchases ofavailable-for-sale securities$444,153,000 Net loss-$30,263,000 Purchases of property andequipment$312,000 Accounts payable-$1,915,000 Other non-cashoperating adjustments$742,000 Inventories$570,000 Unbilled receivables$255,000 Accrued liabilities-$216,000 Operating leaseright-of-use liabilities-$204,000

Infleqtion, Inc. (INFQ-WT)

Infleqtion, Inc. (INFQ-WT)