Plum Acquisition Corp, IV (PLMK) Cash from Financing Activities (2025)

Plum Acquisition Corp, IV's Cash from Financing Activities history spans 1 years, with the latest figure at $250000.0 for Q3 2025.

  • On a quarterly basis, Cash from Financing Activities changed N/A to $250000.0 in Q3 2025 year-over-year; TTM through Dec 2025 was $175.4 million, a N/A change, with the full-year FY2025 number at $175.4 million, up 867937.07% from a year prior.
  • Cash from Financing Activities came in at $250000.0 for Q3 2025, down from $175.1 million in the prior quarter.
  • The five-year high for Cash from Financing Activities was $175.1 million in Q1 2025, with the low at $250000.0 in Q3 2025.