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Proceeds from sale of
investments in the trust...
$62,365,505
Net cash provided by
investing activities
$62,305,505
Canceled cashflow
$60,000
Net change in cash
-$88,711
Canceled cashflow
$62,305,505
Proceeds from working
capital loans - related...
$345,000
Net income
$538,284
Prepaid expenses
-$15,189
Extension fee deposited
into trust account
$60,000
Net cash (used in)
provided by financing...
-$62,020,505
Canceled cashflow
$345,000
Net cash used in
operating activities
-$373,711
Canceled cashflow
$553,473
Class a ordinary
shares redemption
$62,365,505
Interest and dividend
earned on cash and...
$754,674
Accounts payable and
accrued expenses
-$172,445
Due to related
parties
-$65
Back
Back
Cash Flow
PANTAGES CAPITAL ACQUISITION Corp (PGAC)
PANTAGES CAPITAL ACQUISITION Corp (PGAC)
source: myfinsight.com