The latest financial statement is for the year ending 2025-12-31.
| Cash Flow | 2025-12-31 |
|---|---|
| Net (loss) income | -1,512,540 |
| Interest earned on cash and marketable securities held in trust account | 2,468,822 |
| Change in fair value of convertible promissory note - related party | -178,942 |
| Change in fair value of warrant liabilities | 3,228,843 |
| Prepaid expenses and other current assets | -1,689 |
| Accrued expenses | 155,925 |
| Net cash used in operating activities | -773,847 |
| Investment of cash into trust account | 2,100,000 |
| Cash withdrawn from trust account in connection with redemption | 51,219,981 |
| Net cash provided by investing activities | 49,119,981 |
| Proceeds from promissory note - related party | 2,100,000 |
| Proceeds from convertible promissory note - related party | 700,000 |
| Redemption of common stock | 51,219,981 |
| Net cash used in financing activities | -48,419,981 |
| Net change in cash | -73,847 |
| Cash - beginning of period | 236,700 |
| Cash - end of period | 162,853 |
Cartesian Growth Corp II (REEWF)
Cartesian Growth Corp II (REEWF)