For the year ending 2025-12-31, REEWF has $38,277,749 in assets. $26,706,139 in debts.
| Balance Sheets | 2025-12-31 | |||
|---|---|---|---|---|
| Cash | 162,853 | |||
| Prepaid expenses | 200,458 | |||
| Total current assets | 363,311 | |||
| Cash and marketable securities held in trust account | 37,914,438 | |||
| Total assets | 38,277,749 | |||
| Accrued expenses | 1,532,343 | |||
| Promissory note | 4,200,000 | |||
| Total current liabilities | 5,732,343 | |||
| Warrant liabilities | 4,473,000 | |||
| Convertible promissory note - related party, at fair value | 5,000,796 | |||
| Deferred underwriting fee | 11,500,000 | |||
| Total liabilities | 26,706,139 | |||
| Class a ordinary shares subject to possible redemption 3,076,094 and 7,249,712 shares at redemption value of approximately 12.33 and 11.66 per share as of december 31, 2025 and 2024, respectively | 37,914,438 | |||
| Ordinary shares | 575 | |||
| Accumulated deficit | -26,343,403 | |||
| Total shareholders' deficit | -26,342,828 | |||
| Total liabilities and shareholders' deficit | 38,277,749 | |||
Cartesian Growth Corp II (REEWF)
Cartesian Growth Corp II (REEWF)