Renatus Tactical Acquisition Corp I (RTAC) Net Cash Flow (2025 - 2026)
Renatus Tactical Acquisition Corp I has reported Net Cash Flow over the past 2 years, most recently at $6946.0 for Q1 2026.
- Quarterly results put Net Cash Flow at $6946.0 for Q1 2026, changed N/A from a year ago — trailing twelve months through Mar 2026 was -$558089.0 (changed N/A YoY), and the annual figure for FY2025 was $4031.0, changed.
- Net Cash Flow reached $6946.0 in Q1 2026 per RTAC's latest filing, up from -$93331.0 in the prior quarter.
- Across five years, Net Cash Flow topped out at $6946.0 in Q1 2026 and bottomed at -$471704.0 in Q3 2025.