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REEWF

Cartesian Growth Corporation II

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Latest Quote

$0.10

+0.06 (+150.00%)
Current Price
Previous Close $0.04
Open $0.11
Day High $0.11
Day Low $0.10
Volume 25,000
Fetched: 2026-06-17T01:03:23
Stock Information
Total Debt $8.59M
Cash Equivalents $44K
Net Income $1.40M
Exchange PNK
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Recent Price History
Date Close Volume
2026-05-28 $0.10 25,000
About Cartesian Growth Corporation II

Cartesian Growth Corporation II does not have significant operations. It intends to effect a merger, share exchange, asset acquisition, share purchase, reorganization, or other similar business combination with one or more businesses or entities. Cartesian Growth Corporation II was incorporated in 2021 and is based in New York, New York.

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Income Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31
Revenue
Total Revenue $0 $0 $0
Operating Revenue $0 $0 $0
Expenses
Total Expenses $1,036,627 $2,032,433 $685,056
Other Income Expense $1,115,113 $1,830,620 $2,767,656
Other Non Operating Income Expenses $196,947 $166,247 $1,061,084
Net Non Operating Interest Income Expense $8,127,041 $11,642,853 $2,845,907
Operating Expense $1,036,627 $2,032,433 $685,056
Other Operating Expenses $1,036,627 $2,032,433 $685,056
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $8,205,527 $11,441,040 $4,928,507
Net Interest Income $8,127,041 $11,642,853 $2,845,907
Interest Income $8,127,041 $11,642,853 $2,845,907
Normalized Income $7,480,176 $10,126,185 $3,580,315
Net Income From Continuing And Discontinued Operation $8,205,527 $11,441,040 $4,928,507
Total Operating Income As Reported $-1,036,627 $-2,032,433 $-685,056
Net Income Common Stockholders $8,205,527 $11,441,040 $4,928,507
Net Income $8,205,527 $11,441,040 $4,928,507
Net Income Including Noncontrolling Interests $8,205,527 $11,441,040 $4,928,507
Net Income Continuous Operations $8,205,527 $11,441,040 $4,928,507
Pretax Income $8,205,527 $11,441,040 $4,928,507
Interest Income Non Operating $8,127,041 $11,642,853 $2,845,907
Operating Income $-1,036,627 $-2,032,433 $-685,056
Other
Tax Effect Of Unusual Items $192,815 $349,518 $358,380
Tax Rate For Calcs $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-1,954,793 $-3,696,806 $-2,391,628
Total Unusual Items $918,166 $1,664,373 $1,706,572
Total Unusual Items Excluding Goodwill $918,166 $1,664,373 $1,706,572
EBITDA (Bullshit earnings) $-1,036,627 $-2,032,433 $-685,056
EBIT $-1,036,627 $-2,032,433 $-685,056
Diluted NI Availto Com Stockholders $8,205,527 $11,441,040 $4,928,507
Gain On Sale Of Security $918,166 $1,664,373 $1,706,572
Fetched: 2026-02-02
Balance Sheet (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Assets
Net Tangible Assets $64,304,131 $155,712,246 $221,707,768 $21,273
Total Assets $85,004,444 $174,582,232 $240,596,307 $463,629
Total Non Current Assets $84,565,597 $174,252,198 $239,745,907 $463,629
Other Non Current Assets $84,565,597 $174,252,198 $239,745,907 -
Current Assets $438,847 $330,034 $850,400 $0
Prepaid Assets $202,147 $279,102 $306,733 $0
Cash Cash Equivalents And Short Term Investments $236,700 $50,932 $543,667 $0
Cash And Cash Equivalents $236,700 $50,932 $543,667 $0
Cash Financial $236,700 $50,932 $543,667 $0
Non Current Deferred Assets - - $0 $463,629
Debt
Net Debt $6,343,038 $3,925,753 $2,799,265 $138,461
Total Debt $6,579,738 $3,976,685 $3,342,932 $138,461
Long Term Debt And Capital Lease Obligation $4,479,738 $3,676,685 $3,342,932 -
Long Term Debt $4,479,738 $3,676,685 $3,342,932 -
Current Debt And Capital Lease Obligation $2,100,000 $300,000 - $138,461
Current Debt $2,100,000 $300,000 - $138,461
Other Current Borrowings $2,100,000 $300,000 - $138,461
Liabilities
Total Liabilities Net Minority Interest $20,700,313 $18,869,986 $18,888,539 $442,356
Total Non Current Liabilities Net Minority Interest $17,223,895 $17,339,008 $18,669,628 $0
Derivative Product Liabilities $1,244,157 $2,162,323 $3,826,696 $0
Non Current Deferred Liabilities $11,500,000 $11,500,000 $11,500,000 $0
Current Liabilities $3,476,418 $1,530,978 $218,911 $442,356
Payables And Accrued Expenses $1,376,418 $1,230,978 $218,911 $303,895
Current Notes Payable - $300,000 $0 $138,461
Equity
Common Stock Equity $64,304,131 $155,712,246 $221,707,768 $21,273
Total Equity Gross Minority Interest $64,304,131 $155,712,246 $221,707,768 $21,273
Stockholders Equity $64,304,131 $155,712,246 $221,707,768 $21,273
Retained Earnings $-20,262,041 $-18,540,527 $-18,038,714 $-3,727
Other
Ordinary Shares Number $12,999,712 $21,620,561 $28,750,000 $28,750,000
Share Issued $12,999,712 $21,620,561 $28,750,000 $28,750,000
Tangible Book Value $64,304,131 $155,712,246 $221,707,768 $21,273
Invested Capital $70,883,869 $159,688,931 $225,050,700 $159,734
Working Capital $-3,037,571 $-1,200,944 $631,489 $-442,356
Total Capitalization $68,783,869 $159,388,931 $225,050,700 $21,273
Additional Paid In Capital $0 $0 $0 $24,425
Capital Stock $84,566,172 $174,252,773 $239,746,482 $575
Common Stock $84,566,172 $174,252,773 $239,746,482 $575
Preferred Stock $0 $0 $0 $0
Current Accrued Expenses $1,376,418 $1,230,978 $218,911 $303,895
Fetched: 2026-02-02
Cash Flow Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $-814,232 $-922,735 $-842,878
Operating Activities
Operating Cash Flow $-814,232 $-922,735 $-842,878
Cash Flow From Continuing Operating Activities $-814,232 $-922,735 $-842,878
Operating Gains Losses $-918,166 $-1,664,373 $-1,510,588
Investing Activities
Investing Cash Flow $97,813,642 $77,136,562 $-236,900,000
Cash Flow From Continuing Investing Activities $97,813,642 $77,136,562 $-236,900,000
Net Other Investing Changes $97,813,642 $77,136,562 $-236,900,000
Financing Activities
Repurchase Of Capital Stock $-99,613,642 $-77,436,562 $0
Financing Cash Flow $-96,813,642 $-76,706,562 $238,286,545
Cash Flow From Continuing Financing Activities $-96,813,642 $-76,706,562 $238,286,545
Net Common Stock Issuance $-99,613,642 $-77,436,562 $225,400,000
Issuance Of Capital Stock - $0 $225,400,000
Net Other Financing Charges - $-70,000 $-474,994
Common Stock Issuance - $0 $225,400,000
Other
Issuance Of Debt $2,800,000 $800,000 $4,677,944
End Cash Position $236,700 $50,932 $543,667
Beginning Cash Position $50,932 $543,667 $0
Changes In Cash $185,768 $-492,735 $543,667
Common Stock Payments $-99,613,642 $-77,436,562 $0
Net Issuance Payments Of Debt $2,800,000 $800,000 $4,461,539
Net Short Term Debt Issuance $1,800,000 $300,000 $-138,461
Short Term Debt Issuance $1,800,000 $300,000 $77,944
Net Long Term Debt Issuance $1,000,000 $500,000 $4,600,000
Long Term Debt Issuance $1,000,000 $500,000 $4,600,000
Change In Working Capital $222,395 $1,109,698 $-157,822
Change In Payables And Accrued Expense $145,440 $1,082,067 $148,911
Change In Accrued Expense $145,440 $1,082,067 $148,911
Change In Prepaid Assets $76,955 $27,631 $-306,733
Other Non Cash Items $-8,323,988 $-11,809,100 $-4,102,975
Gain Loss On Investment Securities $-918,166 $-1,664,373 $-1,510,588
Net Income From Continuing Operations $8,205,527 $11,441,040 $4,928,507
Repayment Of Debt - $0 $-216,405
Proceeds From Stock Option Exercised - $0 $8,900,000
Short Term Debt Payments - $0 $-216,405
Long Term Debt Payments - - $-216,405
Fetched: 2026-02-02