WSTN
WSTN
Westin Acquisition CorpIncome Statement
| Period | Revenue | Operating Expense | Net Income | Net Profit Margin | Earnings Per Share | EBITDA |
|---|---|---|---|---|---|---|
| Q2-2025 | $0 | $197.01K ▲ | $99.42K ▲ | 0% | $0.03 ▲ | $-197.01K ▼ |
| Q1-2025 | $0 | $4.34K ▲ | $-4.34K ▲ | 0% | $-0 ▲ | $-4.34K ▲ |
| Q4-2024 | $0 | $0 | $-7.29K | 0% | $-0 | $-7.29K |
What's going well?
The company managed to report a profit this quarter, mainly due to a large amount of interest income. Earnings per share improved significantly compared to last quarter.
What's concerning?
There is still no revenue, and operating losses have exploded. The profit is not from business activity, but from outside sources, raising questions about the company's future.
Balance Statement
| Period | Cash & Short-term | Total Assets | Total Liabilities | Total Equity |
|---|---|---|---|---|
| Q2-2025 | $58.32M ▲ | $58.32M ▲ | $2.17M ▼ | $43.18M ▲ |
| Q2-2024 | $58.14M | $58.14M | $2.75M | $5.76M |
What's financially strong about this company?
The company is sitting on a huge pile of cash and investments, with almost no debt and no risky assets like goodwill or inventory. Shareholder equity is very strong and has grown sharply.
What are the financial risks or weaknesses?
Liquidity is adequate but not excessive, and the company has no physical assets or receivables, which could limit growth. The sharp drop in share count and rise in equity may signal unusual activity that needs more explanation.
Cash Flow Statement
| Period | Net Income | Cash From Operations | Cash From Investing | Cash From Financing | Net Change | Free Cash Flow |
|---|---|---|---|---|---|---|
| Q2-2025 | $128.86K ▲ | $-168.06K ▼ | $-44.36M ▼ | $44.86M ▲ | $336.06K ▲ | $-217.83K ▼ |
| Q1-2025 | $-4.34K | $0 | $0 | $0 | $0 | $0 |
What's strong about this company's cash flow?
The company was able to raise a significant amount of cash ($44.9 million) through new stock sales, boosting its cash balance from zero.
What are the cash flow concerns?
Core operations are burning cash, and the company is fully dependent on outside investors for survival. Existing shareholders are being diluted, and the cash runway is short unless more funding is raised.
About Westin Acquisition Corp
https://www.krakatoaacquisition.comWestin Acquisition Corp focuses on effecting a merger, share exchange, asset acquisition, share purchase, recapitalization, reorganization or similar business combination with one or more businesses or entities. The company was incorporated in 2025 and is based in Singapore.
Income Statement
| Period | Revenue | Operating Expense | Net Income | Net Profit Margin | Earnings Per Share | EBITDA |
|---|---|---|---|---|---|---|
| Q2-2025 | $0 | $197.01K ▲ | $99.42K ▲ | 0% | $0.03 ▲ | $-197.01K ▼ |
| Q1-2025 | $0 | $4.34K ▲ | $-4.34K ▲ | 0% | $-0 ▲ | $-4.34K ▲ |
| Q4-2024 | $0 | $0 | $-7.29K | 0% | $-0 | $-7.29K |
What's going well?
The company managed to report a profit this quarter, mainly due to a large amount of interest income. Earnings per share improved significantly compared to last quarter.
What's concerning?
There is still no revenue, and operating losses have exploded. The profit is not from business activity, but from outside sources, raising questions about the company's future.
Balance Statement
| Period | Cash & Short-term | Total Assets | Total Liabilities | Total Equity |
|---|---|---|---|---|
| Q2-2025 | $58.32M ▲ | $58.32M ▲ | $2.17M ▼ | $43.18M ▲ |
| Q2-2024 | $58.14M | $58.14M | $2.75M | $5.76M |
What's financially strong about this company?
The company is sitting on a huge pile of cash and investments, with almost no debt and no risky assets like goodwill or inventory. Shareholder equity is very strong and has grown sharply.
What are the financial risks or weaknesses?
Liquidity is adequate but not excessive, and the company has no physical assets or receivables, which could limit growth. The sharp drop in share count and rise in equity may signal unusual activity that needs more explanation.
Cash Flow Statement
| Period | Net Income | Cash From Operations | Cash From Investing | Cash From Financing | Net Change | Free Cash Flow |
|---|---|---|---|---|---|---|
| Q2-2025 | $128.86K ▲ | $-168.06K ▼ | $-44.36M ▼ | $44.86M ▲ | $336.06K ▲ | $-217.83K ▼ |
| Q1-2025 | $-4.34K | $0 | $0 | $0 | $0 | $0 |
What's strong about this company's cash flow?
The company was able to raise a significant amount of cash ($44.9 million) through new stock sales, boosting its cash balance from zero.
What are the cash flow concerns?
Core operations are burning cash, and the company is fully dependent on outside investors for survival. Existing shareholders are being diluted, and the cash runway is short unless more funding is raised.

CEO
Kok Peng Na

