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Newbridge Acquisition Ltd (NBRGU)
Newbridge Acquisition Ltd (NBRGU)
Income Statement
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Cash Flow
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Balance Sheet
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Ratios
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Balance Sheets Overview
Current Ratio
70.40%
Quick Ratio
70.40%
Debt to Asset Ratio
3.89%
Unit: Dollar
Assets Breakdown
Cash and marketable securities h...
Cash
Liabilities Breakdown
Ordinary shares subject to redem...
Additional paid-in capital
Promissory note - related party
Others
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Page 1
Quarterly
123
Page 1
Balance Sheets
2026-06-30
2026-03-31
2025-12-31
Cash
1,642,788
1,846,192
1,824,242
Total current asset
1,642,788
1,846,192
1,824,242
Cash and marketable securities held in trust
58,285,569
57,806,561
2,700,000
Deferred offering costs
-
-
295,399
Total assets
59,928,357
59,652,753
4,819,641
Promissory note - related party
2,208,521
2,347,287
5,414,763
Payable to a third party
125,000
-
-
Total current liabilities
2,333,521
2,347,287
5,414,763
Total liabilities
2,333,521
2,347,287
5,414,763
Ordinary shares subject to redemption, 5,750,000 shares (at redemption price of 9.29 per share)
53,394,756
52,163,181
-
Ordinary shares, value
25,000
25,000
25,000
Additional paid-in capital
4,409,850
5,641,425
-
Accumulated deficit
-234,770
-524,140
-620,122
Total shareholders (deficit)/equity
4,200,080
5,142,285
-595,122
Total liabilities and shareholders (deficit)/equity
59,928,357
59,652,753
4,819,641
Page 1
Unit: Dollar. Numbers labeled with * are estimated quarterly values.
Page 1
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Time Plot
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Balance Sheets
Cash
$1,642,788
Cash and marketable
securities held in trust
$58,285,569
Total current asset
$1,642,788
Total assets
$59,928,357
Total liabilities and
shareholders...
$59,928,357
Ordinary shares subject
to redemption,...
$53,394,756
Total shareholders
(deficit)/equity
$4,200,080
Total liabilities
$2,333,521
Accumulated deficit
-$234,770
Additional paid-in capital
$4,409,850
Total current
liabilities
$2,333,521
Ordinary shares, value
$25,000
Promissory note - related
party
$2,208,521
Payable to a third party
$125,000
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