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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)
Inflection Point Acquisition Corp. VI (IPFXW)
Inflection Point Acquisition Corp. VI (IPFXW)
Income Statement
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Cash Flow
|
Balance Sheet
|
Ratios
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Compare
Cash Flow Overview
Unit: Dollar
Positive Cash Flow Breakdown
Proceeds from sale of units, net...
Proceeds from sale of private pl...
Accounts payable and accrued exp...
Others
Negative Cash Flow Breakdown
Purchase of money market funds h...
Interest earned on investments h...
Gain on change in fair value of ...
Others
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Page 1
Quarterly
123
Page 1
Cash Flow
2026-06-30
Net loss
-506,244
Payment of general and administrative and operating costs through promissory note related party
25,889
Gain on change in fair value of forward contract
957,000
Compensation expense
1,338,475
Prepaid expenses
99,619
Prepaid insurance
155,899
Long-term prepaid insurance
114,410
Accounts payable and accrued expenses
1,798,249
Net cash provided by operating activities
1,329,441
Purchase of money market funds held in trust account
253,000,000
Interest earned on investments held in trust account
2,277,090
Cash withdrawn from trust account for working capital purposes
500,000
Net cash used in investing activities
-254,777,090
Proceeds from sale of units, net of underwriting discounts paid
248,600,000
Proceeds from sale of private placements warrants
7,400,000
Advances from related party
10,164
Repayment of promissory note - related party
149,276
Repayment of advances from related party
10,164
Payment of offering costs
648,772
Net cash provided by financing activities
255,201,952
Net change in cash
1,754,303
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
IPFXW Cash Flow Sankey Diagram
Sankey diagram visualizing IPFXW cash flow for the period
Proceeds from sale of
units, net of...
$248,600,000
Proceeds from sale of
private placements...
$7,400,000
Accounts payable and
accrued expenses
$1,798,249
Advances from related
party
$10,164
Compensation expense
$1,338,475
Payment of general and
administrative and operating...
$25,889
Net cash provided by
financing activities
$255,201,952
Net cash provided by
operating activities
$1,329,441
Canceled cashflow
$808,212
Canceled cashflow
$1,833,172
Net change in cash
$1,754,303
Canceled cashflow
$254,777,090
Payment of offering
costs
$648,772
Repayment of promissory
note - related party
$149,276
Repayment of advances from
related party
$10,164
Cash withdrawn from
trust account for...
$500,000
Gain on change in fair
value of forward...
$957,000
Net loss
-$506,244
Prepaid insurance
$155,899
Long-term prepaid
insurance
$114,410
Prepaid expenses
$99,619
Net cash used in
investing activities
-$254,777,090
Canceled cashflow
$500,000
Purchase of money market
funds held in trust...
$253,000,000
Interest earned on
investments held in trust...
$2,277,090
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