APEX Tech Acquisition Posts $47,671 Net Loss in H1 2026 Amid Minimal Operations
APEX Tech Acquisition Inc., a special purpose acquisition company, reported a net loss of $47,671 for the six months ending February 28, 2026. The company reported no revenue during the period.
APEX Tech Acquisition Inc., a special purpose acquisition company, reported a net loss of $47,671 for the six months ending February 28, 2026, compared to minimal activity in the prior fiscal year. The company reported no revenue for the period. Read more earnings reports.
For the three months ending February 28, 2026, the net loss totaled $39,322. Diluted loss per share stood at $0.02 for the six-month period and $0.01 for the three-month period.
Balance Sheet Transformation
Total assets surged to $112.6 million as of February 28, 2026, from just $28,000 at the end of fiscal year 2025 on August 31, 2025. The dramatic increase reflects significant investing and financing activity during the period.
Cash and cash equivalents totaled $584,080 as of February 28, 2026, compared to zero at the prior fiscal year end. Current assets rose to $584,080 from $8,000 over the same timeframe.
The company eliminated all liabilities, reporting zero total liabilities as of February 28, 2026, down from $20,047 six months earlier. Stockholders' equity increased to $584,080 from $7,953.
Capital Activity
Common shares outstanding grew to 3,058,254 as of February 28, 2026, up from 2,875,000 at the end of August 2025. Additional paid-in capital climbed to $648,492 from $24,713 over the six-month period.
The accumulated deficit widened to $64,718 as of February 28, 2026, compared to $17,047 at the prior fiscal year end, reflecting ongoing operating losses.
Cash Flow Summary
Cash used in operations totaled $39,671 for the six months ending February 28, 2026. Cash used in investing activities reached $112.0 million, while financing activities generated $112.6 million during the same period.
Key Financials
| Metric | Six Months Ending Feb 28, 2026 | As of Feb 28, 2026 | As of Aug 31, 2025 |
|---|---|---|---|
| Net Loss | $47,671 | — | — |
| Revenue | $0 | — | — |
| Total Assets | — | $112,555,390 | $28,000 |
| Cash & Cash Equivalents | — | $584,080 | $0 |
| Total Liabilities | — | $0 | $20,047 |
| Stockholders' Equity | — | $584,080 | $7,953 |
| Shares Outstanding | — | 3,058,254 | 2,875,000 |