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The latest financial statement is for the year ending 2025-12-31.

Cash Flow Overview

Unit: Dollar
Positive Cash Flow Breakdown
    • Cash withdrawn from trust accoun...
    • Change in fair value of derivati...
    • Proceeds from convertible promis...
    • Others
Negative Cash Flow Breakdown
    • Redemption of ordinary shares
    • Net loss
    • Income from cash held in the tru...
    • Others

Cash Flow
2025-12-31
Net loss
-842,099
Change in fair value of derivative warrant liabilities
1,678,500
Income from cash held in the trust account
541,356
Benefit from credit loss
-500,000
Prepaid expenses and due from related party
-429
Due from aerkomm
160,000
Accounts receivable
-500,000
Accounts payable
-8,151
Accrued expenses
468,516
Net cash provided by (used in) operating activities
595,839
Cash withdrawn from trust account in connection with redemptions
11,228,599
Cash deposited in the trust account
518,925
Net cash provided by investing activities
10,709,674
Proceeds from convertible promissory note - related party
578,534
Repayment of promissory note - related party
480,000
Redemption of ordinary shares
11,228,599
Net cash used in financing activities
-11,130,065
Net change in cash
175,448
Cash - beginning of the year
3,527
Cash - end of the year
178,975
Unit: Dollar.

Time Plot

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

Cash Flow

Cash withdrawn fromtrust account in...$11,228,599 Change in fair value ofderivative warrant...$1,678,500 Accounts receivable-$500,000 Accrued expenses$468,516 Prepaid expenses and duefrom related party-$429 Net cash provided byinvesting activities$10,709,674 Net cash provided by(used in) operating...$595,839 Canceled cashflow$518,925 Canceled cashflow$2,051,606 Net change in cash$175,448 Canceled cashflow$11,130,065 Cash deposited in thetrust account$518,925 Proceeds fromconvertible promissory note...$578,534 Net loss-$842,099 Income from cash held inthe trust account$541,356 Benefit from credit loss-$500,000 Due from aerkomm$160,000 Accounts payable-$8,151 Net cash used infinancing activities-$11,130,065 Canceled cashflow$578,534 Redemption of ordinaryshares$11,228,599 Repayment of promissorynote - related party$480,000

IX Acquisition Corp. (IXQUF)

IX Acquisition Corp. (IXQUF)