◆ Market Data --:--
Commodities
Loading...
📈 Yields & Rates
Loading...
💱 FX Rates
Loading...
📈 Market Pulse
Loading...
🏛 Congress Trades
Loading...
👤 Insider Trades
Loading...
Customize Items

Cartesian Growth Corp III

CIK: 2049662 SIC: 3690
-
Revenue
$6.22M
Net Income
-
Gross Margin
-
Op. Margin
-
Free Cash Flow
Financial Statements Quarterly (10-Q)
Showing 4 of 3 quarterly reports available
Breakdown Q4 2025
(Dec 31, 2025)
Q3 2025
(Sep 30, 2025)
Q2 2025
(Jun 30, 2025)
Q1 2025
(Mar 31, 2025)
Operating Income $-551.83K $-137.35K $-448.58K -
Interest Income $2.71M $2.90M $1.77M -
Other Income/Expense $2.71M $2.90M $1.77M -
Net Income $2.16M $2.76M $1.32M $-20.45K
Breakdown Q4 2025
(Dec 31, 2025)
Q3 2025
(Sep 30, 2025)
Q2 2025
(Jun 30, 2025)
Q1 2025
(Mar 31, 2025)
Cash & Cash Equivalents - $660.64K $827.24K -
Total Current Assets $740.14K $825.21K $960.09K -
Total Assets $284.15M $281.56M $278.82M $705.94K
Accrued Liabilities $759.87K $321.18K $346.79K -
Total Current Liabilities $834.87K $396.18K $421.79K $744.01K
Total Liabilities $13.97M $13.54M $13.56M -
Retained Earnings $-13.20M $-12.65M $-12.51M $-63.07K
Total Stockholders Equity $-13.20M $-12.65M $-12.51M $-38.07K
Total Liabilities & Equity $284.15M $281.56M $278.82M $705.94K
Breakdown Q4 2025
(Dec 31, 2025)
Q3 2025
(Sep 30, 2025)
Q2 2025
(Jun 30, 2025)
Q1 2025
(Mar 31, 2025)
Net Income $2.16M $2.76M $1.32M $-20.45K
Operating Cash Flow $-36.48K $-468.02K $-301.42K -
Investing Cash Flow - $-276.00M $-276.00M -
Financing Cash Flow - $277.13M $277.13M -
Net Change in Cash $-36.48K $660.64K $827.24K -
SEC Filing Format - Data shown as it appears in the Q3 2025 (10-Q) filing Period ended: Sep 30, 2025
Condensed Consolidated Statements of Operations
Description Sep 30, 2025 Sep 30, 2025
Current Prior Year Current YTD Prior Year YTD
Operating Income $-137.35K - $-606.37K -
Interest Income $2.90M - $4.67M -
Other Income/Expense $2.90M - $4.67M -
Net Income $2.76M $-20.45K $4.06M -
Condensed Consolidated Balance Sheets
Description Sep 30, 2025 Dec 31, 2024
Cash & Cash Equivalents $660.64K -
Total Current Assets $825.21K $3.20K
Total Assets $281.56M $266.88K
Accrued Liabilities $321.18K -
Total Current Liabilities $396.18K $284.50K
Total Liabilities $13.54M $284.50K
Retained Earnings $-12.65M $-42.62K
Total Stockholders Equity $-12.65M $-17.62K
Total Liabilities & Equity $281.56M $266.88K
Condensed Consolidated Statements of Cash Flows
Description Sep 30, 2025 Sep 30, 2025
Current Prior Year Current YTD Prior Year YTD
Net Income $2.76M $-20.45K $4.06M -
Operating Cash Flow - - $-468.02K -
Investing Cash Flow - - $-276.00M -
Financing Cash Flow - - $277.13M -
Net Change in Cash - - $660.64K -

All values are in USD (United States Dollars). Data is sourced from SEC EDGAR 10-Q filings.

Quarterly data represents single quarter results (Q1-Q4). Some items may show year-to-date values if quarterly breakdown is unavailable.

NEWS
Loading article...
NEWS
Loading news...
TRENDING
Loading...