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Breeze Holdings Acquisition Corp.

NAS: BREZ

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Market closed

 --Quotes are delayed by 20 min

Dec 5, 2023, 9:30 a.m.

/zigman2/quotes/200095525/composite

$

11.05

Change

+0.03 +0.23%

Volume

Volume 130

Quotes are delayed by 20 min

/zigman2/quotes/200095525/composite

Previous close

$ 11.05

$ 11.05

Change

+0.03 +0.23%

Day low

Day high

$11.05

$11.05

Open

52 week low

52 week high

$10.38

$12.24

Open

Annual Financials for Breeze Holdings Acquisition Corp.

Operating Activities

Fiscal year is January-December. All values USD millions. 202020212022 5-year trend
Net Income before Extraordinaries --(2.54M)8.7M3.79M
Depreciation, Depletion & Amortization -----
Depreciation and Depletion -----
Amortization of Intangible Assets -----
Deferred Taxes & Investment Tax Credit -----
Deferred Taxes -----
Investment Tax Credit -----
Other Funds --2.19M(10.02M)(6.11M)
Funds from Operations --(344,045)(1.32M)(2.33M)
Extraordinaries -----
Changes in Working Capital --90,420632,185(697,487)
Receivables -----
Accounts Payable --67,264531,183(530,947)
Other Assets/Liabilities ---(75,842)(168,629)
Net Operating Cash Flow --(253,625)(688,415)(3.02M)

Investing Activities

202020212022 5-year trend
Capital Expenditures -----
Capital Expenditures (Fixed Assets) -----
Capital Expenditures (Other Assets) -----
Net Assets from Acquisitions -----
Sale of Fixed Assets & Businesses -----
Purchase/Sale of Investments --(116.73M)(1.15M)(1.4M)
Purchase of Investments --(116.73M)(1.15M)(1.4M)
Sale/Maturity of Investments -----
Other Uses -----
Other Sources ----101.78M
Net Investing Cash Flow --(116.73M)(1.15M)100.38M

Financing Activities

202020212022 5-year trend
Cash Dividends Paid - Total -----
Common Dividends -----
Preferred Dividends -----
Change in Capital Stock --117.67M-(101.55M)
Repurchase of Common & Preferred Stk. ----(101.55M)
Sale of Common & Preferred Stock --117.67M--
Proceeds from Stock Options --117.67M--
Other Proceeds from Sale of Stock -----
Issuance/Reduction of Debt, Net ---1.15M4.2M
Change in Current Debt ---1.15M4.2M
Change in Long-Term Debt -----
Issuance of Long-Term Debt -----
Reduction in Long-Term Debt -----
Other Funds -----
Other Uses -----
Other Sources -----
Net Financing Cash Flow --117.67M1.15M(97.34M)
Exchange Rate Effect -----
Miscellaneous Funds -----
Net Change in Cash --693,818(688,415)8,726
Free Cash Flow --(253,620)(688,420)(3.02M)
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