Pelican Acquisition Corporation Right (PELIR)

Financial Services | Asset Management
Income Statement (Quarterly) 2025-07-31 2025-04-30
Revenue 0 0
Cost of Revenue 0 0
Gross Profit 0 0
Operating Expenses
R&D Expenses 0 0
SG&A Expenses 331,247 0
Operating Expenses 331,247 19,937
Operating Income -331,247 -19,937
Interest Expense 0 0
Income Before Tax 307,410 -19,553
Income Tax Expense 0 0
Net Income 307,410 -19,553
Per Share
EPS 0.03 -0.01
EPS Diluted 0.00 0.00
Income Statement (Annual) 2025-01-31
Revenue 0
Cost of Revenue 0
Gross Profit 0
Operating Expenses
R&D Expenses 0
SG&A Expenses 43,064
Operating Expenses 43,064
Operating Income -43,064
Interest Expense 0
Income Before Tax -42,564
Income Tax Expense 0
Net Income -42,564
Per Share
EPS 0.00
EPS Diluted 0.00
Balance Sheet (Quarterly) 2024-08-31
Assets
Cash and Cash Equivalents 141,975
Short Term Investments 0
Net Receivables 0
Inventory 0
Total Current Assets 157,500
Property Plant Equipment 0
Goodwill and Intangibles 0
Total Assets 219,063
Liabilities
Account Payables 0
Short Term Debt 200,000
Total Current Liabilities 206,152
Long Term Debt 0
Total Liabilities 206,152
Shareholders Equity
Retained Earnings -12,089
Total Shareholders Equity 12,911
Balance Sheet (Annual) 2024-08-31
Assets
Cash and Cash Equivalents 141,975
Short Term Investments 0
Net Receivables 0
Inventory 0
Total Current Assets 157,500
Property Plant Equipment 0
Goodwill and Intangibles 0
Total Assets 219,063
Liabilities
Account Payables 0
Short Term Debt 200,000
Total Current Liabilities 206,152
Long Term Debt 0
Total Liabilities 206,152
Shareholders Equity
Retained Earnings -12,089
Total Shareholders Equity 12,911
Cash Flow Statement (Quarterly) 2025-01-31
Operating Activities
Net Income -42,564
Depreciation & Amortization 0
Stock Based Compensation 0
Change in Working Capital 18,539
Operating Cash Flow -24,025
Investing Activities
Capital Expenditure 5
Investments 0
Investing Cash Flow 0
Financing Activities
Debt Repayment 200,000
Common Stock Issued/Repurchased -116,902
Dividends Paid 0
Financing Cash Flow 83,098
Summary
Free Cash Flow -24,020
Net Change in Cash 59,073
Cash Flow Statement (Annual) 2025-01-31
Operating Activities
Net Income -42,564
Depreciation & Amortization 0
Stock Based Compensation 0
Change in Working Capital 18,539
Operating Cash Flow -24,025
Investing Activities
Capital Expenditure 5
Investments 0
Investing Cash Flow 0
Financing Activities
Debt Repayment 200,000
Common Stock Issued/Repurchased -116,902
Dividends Paid 0
Financing Cash Flow 83,098
Summary
Free Cash Flow -24,020
Net Change in Cash 59,073