StoneBridge Acquisition II Corporation Class A Cash Flow
APAC's free cash flow for Q3 2025 was $-681.37K. For the 2025 fiscal year, APAC's free cash flow was decreased by $374.96K and operating cash flow was $-681.37K. See a summary of the company’s cash flow.
Cash Flow
Dec 25
Dec 23
Dec 22
Dec 21
Operating Cash Flow
$ -313.52K
$ -688.48K
$ -577.18K
$ -776.67K
Investing Cash Flow
$ -57.50M
$ 180.42M
$ -1.00M
$ -202.00M
Financing Cash Flow
$ 58.32M
$ -179.72M
$ 1.00M
$ 203.45M
End Cash Position
$ 503.83K
$ 104.86K
$ 93.34K
$ 670.52K
Free Cash Flow
$ -313.52K
$ -688.48K
$ -577.18K
$ -776.67K
Currency in USD
StoneBridge Acquisition II Corporation Class A Cash Flow