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Kairous Acquisition Corp. Ltd

KACLF

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Financial Statements

Values in Millions ($)
2025-03-31
2024-12-31
2024-09-30
2024-06-30
2024-03-31
2023-12-31
2023-09-30
2023-06-30
2023-03-31
2022-12-31
2022-09-30
2022-06-30
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Subscriber-only column
Assets
Assets Current
Cash And Cash Equivalents At Carrying Value
--0000000000
Prepaid Expense Current
---------000
Cash
-0----------
Prepaid Expense And Other Assets Current
000000000--0
Assets Current
000000000001
Assets Held In Trust Noncurrent
1110171616-232322227979
Prepaid Expense Noncurrent
---------000
Assets
111017161615242323228080
Liabilities And Stockhold…
Liabilities Current
Accounts Payable And Accrued Liabilities Current
110000000000
Convertible Notes Payable Current
---------0--
Notes Payable To Bank Current
---------0--
Loans Payable Current
22222111----
Notes Payable Current
1---------00
Liabilities Current
444333211100
Liabilities
776665544333
Temporary Equity Carrying Amount Attributable To P…
111017161615232322227979
Stockholders Equity
Common Stock Value
000000000000
Retained Earnings Accumulated Deficit
-7-7-6-6-6-5-5-4-4-3-2-2
Stockholders Equity
-7-7-6-6-6-5-5-4-4-3-2-2
Liabilities And Stockholders Equity
111017161615242323228080
Temporary Equity Par Or Stated Value Per Share
0000000000-0
Temporary Equity Shares Outstanding
111111222288
Temporary Equity Redemption Price Per Share
-----11.5------
Common Stock Par Or Stated Value Per Share
000000000000
Common Stock Shares Authorized
500500500500500500500500500500500500
Common Stock Shares Issued
222222222222
Shares Outstanding
222222222222
Shares Subject To Mandatory Redemption Settlement …
----11222288

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Earnings Market Reaction

Fiscal Year
Q1 1 Month
Q1 2 Month
Q1 3 Month
Q2 1 Month
Q2 2 Month
Q2 3 Month
Q3 1 Month
Q3 2 Month
Q3 3 Month
Q4 1 Month
Q4 2 Month
Q4 3 Month
20251.21%2.02%2.02%-0.95%-0.87%-0.87%0.00%-1.22%-97.32%---
20240.88%1.76%2.38%0.00%-0.60%0.26%0.84%1.60%2.02%0.41%1.71%0.65%
20230.98%1.87%4.52%0.47%1.97%1.88%0.09%1.48%1.01%0.53%0.89%1.78%
2022---------0.64%1.34%2.43%

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Performance and Valuation Metrics

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Metrics
2025-03-31
2024-12-31
2024-09-30
2024-06-30
2024-03-31
2023-12-31
2023-09-30
2023-06-30
2023-03-31
2022-12-31
2022-09-30
2022-06-30
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Liquidity Ratios
Current Ratio
0.00
0.00
0.01
0.02
0.01
0.01
0.02
0.08
0.21
0.29
2.91
4.89
Quick Ratio
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.03
0.09
0.20
2.27
3.98
Working Capital
-4.36M
-4.04M
-3.52M
-3.14M
-2.81M
-2.51M
-1.99M
-1.27M
-1.05M
-475.58K
286.91K
471.83K
Leverage & Debt
Debt to Equity
-1.00
-1.00
-1.01
-1.01
-1.00
-1.00
-1.01
-1.03
-1.07
-1.06
-1.19
-1.28
Debt Ratio
0.67
0.65
0.38
0.37
0.35
0.34
0.20
0.18
0.18
0.15
0.04
0.04
Efficiency & Turnover
Asset Turnover TTM
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
-
Per Share Metrics
Diluted EPS TTM
-0.29
-0.10
0.11
0.06
0.17
0.10
0.11
0.10
0.06
0.02
0.01
-
Free Cash Flow Per Share TTM
-0.60
-0.46
-0.46
-0.43
-0.46
-0.43
-0.40
-0.17
-0.16
-0.08
-0.04
-
Dividend Per Share TTM
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
-
Margin Metrics
Operating Profit Margin TTM
-
-
-
-
-
-22,559,250.00%
-9,082,183.33%
-4,037,765.22%
-4,078,717.39%
-2,037,094.87%
-1,277,490.32%
-
Net Profit Margin TTM
-
-
-
-
-
5,082,650.00%
1,953,050.00%
1,962,891.30%
1,221,200.00%
516,728.21%
239,083.87%
-
Growth Metrics
Net Revenue Growth (1Y)
-
-100.00%
-100.00%
-100.00%
-100.00%
-89.74%
-61.29%
-
-
-
-
-
Net Income Growth (1Y)
-201.03%
-163.19%
-36.80%
-76.25%
-17.15%
0.88%
216.22%
-
-
-
-
-
EPS Growth (1Y)
-265.07%
-200.17%
-1.27%
-36.00%
174.74%
334.82%
1,435.24%
-
-
-
-
-
Valuation Metrics
P/E TTM
-43.60
-117.54
110.18
188.47
67.03
109.87
100.32
110.38
171.04
431.42
1,378.54
-
P/B TTM
-1.45
-2.23
-2.61
-3.44
-2.81
-4.27
-4.98
-12.45
-12.72
-27.14
-42.06
-28.87
P/S TTM
-
-
-
-
-
5,584,308.03
1,959,202.50
2,166,681.00
2,088,758.07
2,229,267.18
3,295,859.90
-
Market Cap
10.25M
15.10M
16.32M
20.20M
15.60M
22.34M
23.51M
49.83M
48.04M
86.94M
102.17M
64.45M
Enterprise Value
13.87M
17.19M
18.25M
21.99M
17.24M
23.83M
24.71M
50.63M
47.92M
87.17M
101.90M
64.04M
Calculated Values
Free Cash Flow TTM
-494.66K
-560.84K
-619.89K
-729.74K
-619.01K
-832.46K
-835.27K
-778.61K
-711.66K
-682.32K
-406.76K
-
Net Debt
3.62M
2.09M
1.93M
1.79M
1.64M
1.49M
1.20M
800.64K
-123.33K
228.73K
-271.42K
-412.97K
Per-Share and Margin
EPS TTM
Adjusted EPS TTM
Cash Flow Per Share TTM
Pretax Margin TTM
Stock Comp to Revenue TTM
Turnover Ratios and Averages
Average Assets
Average Equity
Average Inventory
Average Receivables
Average Accounts Payables
Inventory Turnover TTM
Payables Turnover TTM
Days Inventory Outstanding TTM
Days Payables Outstanding TTM
Cash Conversion Cycle TTM
Working Capital to Revenue
Deferred Revenue to Revenue
Growth Rates
Total Assets Growth (1Y)
Total Assets Growth (3Y)
Total Assets Growth (5Y)
Dividends Paid Growth (1Y)
Dividends Paid Growth (3Y)
Dividends Paid Growth (5Y)
EPS Growth (3Y)
EPS Growth (5Y)
Net Income Growth (3Y)
Net Income Growth (5Y)
Net Profit Margin Growth (1Y)
Net Profit Margin Growth (3Y)
Net Profit Margin Growth (5Y)
Net Revenue Growth (3Y)
Net Revenue Growth (5Y)
Deferred Revenue Growth (1Y)
Retained Earnings Growth (1Y)
Credit, Liquidity, Returns, Payout
Cash Ratio
Net Working Capital
Debt to EBITDA TTM
Net Debt to EBITDA TTM
Net Debt to Equity
Altman A
Altman B
Altman C
Altman D
Altman E
Altman Z-Score
ROA TTM
ROE TTM
NOPAT TTM
ROIC TTM
Effective Tax Rate TTM
Payout Ratio TTM
Dilution Ratio
Retained Earnings to Equity
Treasury Stock to Equity
Treasury Stock Change (1Y)
Accrued to Current Liabilities
NCAV
NCAV Per Share TTM
Valuation Ratios
P/CF TTM
Dividend Yield TTM
Free Cash Flow Yield TTM
EV EBITDA TTM
EV EBIT TTM
Stock Compensation TTM
Adjusted Net Income TTM
Billings TTM
Total Debt
Invested Capital

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Insider Transactions

2023-09-22Sale
Owner: Owl, Creek Asset Manageme…
Title: -
Shares: 475,000
Price/Share: $11.24
Value: $5,339,000.00
Shares Owned: -
Relationship: TenPercentOwner
Ownership: Indirect
2021-12-16Purchase
Owner: Kairous, Asia Ltd
Title: -
Shares: 357,143
Price/Share: $10.00
Value: $3,571,430.00
Shares Owned: 2,349,393
Relationship: TenPercentOwner
Ownership: Direct

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Institutional Ownership

No data available for chart
2024-12-31
11.82%
Inst. Shares: 145,396
Shares Outstanding: 1,230,585
2024-09-30
87.50%
Inst. Shares: 1,170,545
Shares Outstanding: 1,337,763
2024-06-30
69.23%
Inst. Shares: 1,163,716
Shares Outstanding: 1,680,913
2024-03-31
85.84%
Inst. Shares: 1,148,295
Shares Outstanding: 1,337,763
2023-12-31
56.83%
Inst. Shares: 1,108,603
Shares Outstanding: 1,950,850

Kairous Acquisition Corp. Ltd (KACLF) — SEC Financial Statements & Analysis

Kairous Acquisition Corp. Ltd (KACLF) is a blank checks company, incorporated in E9. Kairous Acquisition Corp. Ltd trades on OTC as: KACLF. Based on its latest SEC filing (Form 10-Q, period ending 2025-03-31), Kairous Acquisition Corp. Ltd reported a -100.00% year-over-year revenue growth, a Debt-to-Equity ratio of -1.00x, a Price-to-Sales (P/S) ratio of 5584308.03x (TTM), a Price-to-Book (P/B) ratio of -1.45x (TTM), at a market cap of $10.25M. Figures below are sourced from SEC EDGAR, as-filed.

Net Revenue TTM Growth 1Y
-100.00%
Debt To Equity
-1.00x
P/S TTM
5584308.03x
P/B TTM
-1.45x
Market Cap
$10.25M

Data as of 2025-03-31 · Source: SEC EDGAR

Frequently Asked Questions

What industry is Kairous Acquisition Corp. Ltd in?

Kairous Acquisition Corp. Ltd (KACLF) operates in the Blank Checks industry.

What is KACLF's market cap?

Kairous Acquisition Corp. Ltd (KACLF) has a market capitalization of $10.25M as of 2025-03-31.

What exchange does KACLF trade on?

Kairous Acquisition Corp. Ltd (KACLF) trades on the OTC.

Where is Kairous Acquisition Corp. Ltd incorporated?

Kairous Acquisition Corp. Ltd is incorporated in Cayman Islands.

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