OTC:RENEF | Balance Sheet | Cartesian Growth Corp II

Complete source-backed balance-sheet history.

Available history
2021-10-12 to 2026-06-30
Data captured

Historical Balance Sheet

DateCash and equivalentsCurrent securitiesReceivablesInventoryOther current assetsCurrent assetsProperty, plant and equipmentOther noncurrent assetsTotal assetsAccounts payableCurrent liabilitiesLong-term debtOther noncurrent liabilitiesTotal liabilitiesShareholder equity
2026-06-30$149,017.00$236,200.00$38.62M$6.13M$24.65M-$24.41M
2026-03-31$105,287.00$244,108.00$38.39M$5.86M$23.72M-$23.48M
2025-12-31$162,853.00$363,311.00$38.28M$5.73M$26.71M-$26.34M
2025-09-30$44,123.00$114,510.00$88.59M$5.41M$23.54M-$23.43M
2025-06-30$229,632.00$360,154.00$87.39M$4.71M$22.68M-$22.32M
2025-03-31$81,252.00$285,087.00$85.97M$3.97M$21.11M-$20.82M
2024-12-31$236,700.00$438,847.00$85M$3.48M$20.7M-$20.26M
2024-09-30$199,764.00$251,324.00$182.78M$2.94M$19.51M-$19.26M
2024-06-30$38,064.00$178,888.00$179.92M$2.45M$19.56M-$19.38M
2024-03-31$120,718.00$357,473.00$177.34M$1.98M$19.09M-$18.73M
2023-12-31$50,932.00$330,034.00$174.58M$1.53M$18.87M-$18.54M
2023-09-30$26,981.00$80,580.00$248.75M$218,146.00$17.75M-$17.67M
2023-06-30$217,633.00$382,031.00$245.86M$301,318.00$16.72M-$16.34M
2023-03-31$421,781.00$686,978.00$243.34M$294,804.00$17.92M-$17.23M
2022-12-31$543,667.00$850,400.00$240.6M$218,911.00$18.89M-$18.04M
2022-09-30$660,551.00$1.04M$239.02M$237,264.00$16.75M-$15.68M
2022-06-30$814,170.00$1.2M$238.23M$228,959.00$21.84M-$20.52M
2022-03-31$567,608.00$546,335.00$21,273.00
2021-12-31$0.00$463,629.00$442,356.00$442,356.00$21,273.00
2021-10-12$0.00$0.00