C
Cartesian Growth Corp III
CGCTWCIK 0002049662NasdaqEmerging GrowthMiscellaneous Electrical Machinery, Equipment & SuppliesE9FY ends Dec 31
Period
FY 2025
Revenue
—
Net Income
$6.22M
Total Assets
$284.15M
Equity
$-13.20M
Shares Out
—
Op. Cash Flow
$-504.5K
Business
Cartesian Growth Corp III is a foreign private issuer in Miscellaneous Electrical Machinery, Equipment & Supplies, headquartered in the United States. Shares trade on Nasdaq under the ticker CGCT.
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Financials
Consolidated Statement of Income
Year Ended · In millions, except per-share amounts
| Concept | Trend | FY 2025 2025-12-31 |
|---|---|---|
| General and administrative costs | 1 | |
| Loss from operations | −1 | |
| Interest earned on investments held in Trust Account | 7 | |
| Other income, net | 7 | |
| Net income (loss) | 6 |
Consolidated Balance Sheet
As of · In millions, except per-share amounts
| Concept | Trend | FY 2025 2025-12-31 | FY 2024 2024-12-31 | FY 2024 2024-10-31 |
|---|---|---|---|---|
| Cash | 624,163 | 0 | — | |
| Prepaid insurance - current | 112,307 | — | — | |
| Prepaid expenses | 3,669 | 3,202 | — | |
| Total current assets | 740,139 | 3,202 | — | |
| Deferred offering costs | — | 263,676 | — | |
| Prepaid insurance - long term | 37,435 | — | — | |
| Investments held in Trust Account | 283 | 0 | — | |
| Total Assets | 284 | 266,878 | — | |
| Accrued offering costs | 75,000 | 242,872 | — | |
| Accrued expenses | 759,869 | — | — | |
| Promissory note - related party | — | 41,626 | — | |
| Total current liabilities | 834,869 | 284,498 | — | |
| Deferred underwriting fee | 13 | — | — | |
| Total Liabilities | 14 | 284,498 | — | |
| Commitments and Contingencies (Note 6) | — | — | — | |
| Preference shares, $0.0001 par value; 1,000,000 shares authorized; none issued and outstanding | — | — | — | |
| Additional paid-in capital | — | 24,310 | — | |
| Accumulated deficit | −13 | −42,620 | — | |
| Total Shareholders' Deficit | −13 | −17,620 | 0 | |
| Total Liabilities, Class A Ordinary Shares Subject to Possible Redemption, and Shareholders' Deficit | 284 | 266,878 | — |
Consolidated Statement of Cash Flows
Year Ended · In millions, except per-share amounts
| Concept | Trend | FY 2025 2025-12-31 |
|---|---|---|
| Net income (loss) | 6 | |
| Payment of operation costs through promissory note | 20,450 | |
| Prepaid insurance | −112,307 | |
| Prepaid expenses | 23,131 | |
| Long term prepaid insurance | −37,435 | |
| Accrued expenses | 759,869 | |
| Net cash used in operating activities | −504,499 | |
| Investment of cash in Trust Account | −276 | |
| Net cash used in investing activities | −276 | |
| Proceeds from sale of Units, net of underwriting discounts paid | 271 | |
| Proceeds from sale of Private Placements Warrants | 7 | |
| Repayment of advances from related party | −37,433 | |
| Repayment of promissory note - related party | −250,000 | |
| Payment of offering costs | −583,905 | |
| Net cash provided by financing activities | 277 | |
| Net Change in Cash | 624,163 | |
| Prepaid services contributed by Sponsor through promissory note - related party | 11,326 | |
| Remeasurement of Class A ordinary shares to redemption value | 29 | |
| Deferred costs included in accrued offering costs | 371,503 | |
| Deferred offering costs paid through promissory note - related party | 176,598 | |
| Deferred underwriting fee payable | 13 |
Filings
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