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RENE Cartesian Growth Corporation II

11.81
0.00 (0.00%)
14 Mar 2025 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Year End 31 December 2023 202120222023
USD (US$)USD (US$)USD (US$)
Total Assets 464k240.6M174.58M
Total Current Assets 0850k330k
Cash and Equivalents 0544k51k
Total Non-Current Assets 21k-18.04M-18.54M
Total Liabilities 443k18.89M18.87M
Total Current Liabilities 443k219k1.53M
Total Non-Current Liabilities 022.01M21.02M
Total Equity 21k-18.04M-18.54M
Common Equity 1,0001,0001,000
Retained Earnings -4k-18.04M-18.54M