KRAQU
KRAQU
KRAKacquisition Corp UnitIncome Statement
| Period | Revenue | Operating Expense | Net Income | Net Profit Margin | Earnings Per Share | EBITDA |
|---|---|---|---|---|---|---|
| Q1-2026 | $0 | $10.97M ▲ | $-8.91M ▼ | 0% | $-0.28 ▼ | $-10.97M ▼ |
| Q3-2025 | $0 | $83.26K | $-83.26K | 0% | $-0 | $-83.26K |
Balance Statement
| Period | Cash & Short-term | Total Assets | Total Liabilities | Total Equity |
|---|---|---|---|---|
| Q1-2026 | $824.62K ▲ | $347.95M ▲ | $20.82M ▲ | $-19.86M ▼ |
| Q3-2025 | $35.58K | $456.92K | $515.18K | $-58.26K |
Cash Flow Statement
| Period | Net Income | Cash From Operations | Cash From Investing | Cash From Financing | Net Change | Free Cash Flow |
|---|---|---|---|---|---|---|
| Q1-2026 | $-8.91M | $-669.89K | $-344.95M | $346.4M | $780.47K | $-669.89K |
What's strong about this company's cash flow?
The company was able to raise a large amount of external financing, which boosted its cash balance and kept it afloat for now.
What are the cash flow concerns?
Core operations are losing cash, and the company is totally dependent on outside funding to survive. Without more financing, it would quickly run out of cash.
About KRAKacquisition Corp Unit
https://www.sunoco.comKRAK Acquisition Corp. is a blank-check company formed for the purpose of effecting a merger, share exchange, asset acquisition, share purchase, reorganization, or similar business combination with one or more operating businesses. The units typically consist of one Class A ordinary share and a fraction of a redeemable warrant, as described in the company’s offering documents.
Income Statement
| Period | Revenue | Operating Expense | Net Income | Net Profit Margin | Earnings Per Share | EBITDA |
|---|---|---|---|---|---|---|
| Q1-2026 | $0 | $10.97M ▲ | $-8.91M ▼ | 0% | $-0.28 ▼ | $-10.97M ▼ |
| Q3-2025 | $0 | $83.26K | $-83.26K | 0% | $-0 | $-83.26K |
Balance Statement
| Period | Cash & Short-term | Total Assets | Total Liabilities | Total Equity |
|---|---|---|---|---|
| Q1-2026 | $824.62K ▲ | $347.95M ▲ | $20.82M ▲ | $-19.86M ▼ |
| Q3-2025 | $35.58K | $456.92K | $515.18K | $-58.26K |
Cash Flow Statement
| Period | Net Income | Cash From Operations | Cash From Investing | Cash From Financing | Net Change | Free Cash Flow |
|---|---|---|---|---|---|---|
| Q1-2026 | $-8.91M | $-669.89K | $-344.95M | $346.4M | $780.47K | $-669.89K |
What's strong about this company's cash flow?
The company was able to raise a large amount of external financing, which boosted its cash balance and kept it afloat for now.
What are the cash flow concerns?
Core operations are losing cash, and the company is totally dependent on outside funding to survive. Without more financing, it would quickly run out of cash.

CEO
Ravikant Tanuku
Compensation Summary
(Year )
Ratings Snapshot
Rating : C

