GIWWR
GIWWR
GigCapital8 Corp.Income Statement
| Period | Revenue | Operating Expense | Net Income | Net Profit Margin | Earnings Per Share | EBITDA |
|---|---|---|---|---|---|---|
| Q1-2026 | $0 | $311.1K ▲ | $595.41K ▲ | 0% | $0.05 ▲ | $-311.1K ▼ |
| Q3-2025 | $0 | $81.62K ▲ | $-81.61K ▼ | 0% | $-0.01 ▼ | $-81.62K ▼ |
| Q2-2025 | $0 | $19.33K | $-19.33K | 0% | $0 | $-19.33K |
Balance Statement
| Period | Cash & Short-term | Total Assets | Total Liabilities | Total Equity |
|---|---|---|---|---|
| Q1-2026 | $258.57M ▲ | $258.79M ▲ | $227.8K ▲ | $1.14M ▲ |
| Q4-2025 | $255.27M ▲ | $255.27M ▲ | $0 ▼ | $0 ▲ |
| Q3-2025 | $3.29M | $3.46M | $3.52M | $-61.97K |
Cash Flow Statement
| Period | Net Income | Cash From Operations | Cash From Investing | Cash From Financing | Net Change | Free Cash Flow |
|---|---|---|---|---|---|---|
| Q1-2026 | $595.41K ▲ | $-391.04K ▲ | $0 | $0 | $-391.04K ▲ | $-391.04K ▲ |
| Q1-2022 | $-559.76K | $-498.09K | $0 | $0 | $-498.09K | $-498.09K |
What's strong about this company's cash flow?
Cash burn is shrinking, and the company is not relying on outside funding or debt. The ending cash balance is higher than last period, giving some cushion.
What are the cash flow concerns?
The company is still burning cash and paying out large dividends it can't afford from operations. If this continues, cash reserves will run out in a few quarters.
About GigCapital8 Corp.
http://www.gigcapital8.comGigCapital8 Corp. operates as a blank check company. It was formed for the purpose of a merger, share exchange, asset acquisition, stock purchase, recapitalization, reorganization or other similar business combination with one or more businesses. The company was founded on June 30, 2025 and is headquartered in Palo Alto, CA.
Income Statement
| Period | Revenue | Operating Expense | Net Income | Net Profit Margin | Earnings Per Share | EBITDA |
|---|---|---|---|---|---|---|
| Q1-2026 | $0 | $311.1K ▲ | $595.41K ▲ | 0% | $0.05 ▲ | $-311.1K ▼ |
| Q3-2025 | $0 | $81.62K ▲ | $-81.61K ▼ | 0% | $-0.01 ▼ | $-81.62K ▼ |
| Q2-2025 | $0 | $19.33K | $-19.33K | 0% | $0 | $-19.33K |
Balance Statement
| Period | Cash & Short-term | Total Assets | Total Liabilities | Total Equity |
|---|---|---|---|---|
| Q1-2026 | $258.57M ▲ | $258.79M ▲ | $227.8K ▲ | $1.14M ▲ |
| Q4-2025 | $255.27M ▲ | $255.27M ▲ | $0 ▼ | $0 ▲ |
| Q3-2025 | $3.29M | $3.46M | $3.52M | $-61.97K |
Cash Flow Statement
| Period | Net Income | Cash From Operations | Cash From Investing | Cash From Financing | Net Change | Free Cash Flow |
|---|---|---|---|---|---|---|
| Q1-2026 | $595.41K ▲ | $-391.04K ▲ | $0 | $0 | $-391.04K ▲ | $-391.04K ▲ |
| Q1-2022 | $-559.76K | $-498.09K | $0 | $0 | $-498.09K | $-498.09K |
What's strong about this company's cash flow?
Cash burn is shrinking, and the company is not relying on outside funding or debt. The ending cash balance is higher than last period, giving some cushion.
What are the cash flow concerns?
The company is still burning cash and paying out large dividends it can't afford from operations. If this continues, cash reserves will run out in a few quarters.

CEO
Avishay S. Katz
Compensation Summary
(Year )
ETFs Holding This Stock
Summary
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Ratings Snapshot
Rating : C

