Trailblazer Merger Corp I (TBMC) Net Cash Flow (2022 - 2025)

Trailblazer Merger Corp I has reported Net Cash Flow over the past 4 years, most recently at $187351.0 for Q4 2025.

  • Quarterly results put Net Cash Flow at $187351.0 for Q4 2025, down 53.73% from a year ago — trailing twelve months through Dec 2025 was -$660288.0 (down 354.93% YoY), and the annual figure for FY2025 was -$660288.0, down 354.93%.
  • Net Cash Flow reached $187351.0 in Q4 2025 per TBMC's latest filing, up from -$1.3 million in the prior quarter.
  • Across five years, Net Cash Flow topped out at $1.0 million in Q1 2023 and bottomed at -$1.3 million in Q3 2025.
  • Median Net Cash Flow over the past 4 years was -$27851.5 (2024), compared with a mean of $11738.6.
  • The largest annual shift saw Net Cash Flow soared 698.11% in 2024 before it plummeted 1876.76% in 2025.
  • Over 4 years, Net Cash Flow stood at -$38611.0 in 2022, then tumbled by 75.34% to -$67699.0 in 2023, then skyrocketed by 698.11% to $404914.0 in 2024, then crashed by 53.73% to $187351.0 in 2025.
  • Business Quant data shows Net Cash Flow for TBMC at $187351.0 in Q4 2025, -$1.3 million in Q3 2025, and $485868.0 in Q2 2025.