All individual numbers are from the SEC provided Financial Statement and Notes Data Sets. No guarantee is made for their accuracy.
AIMFINITY INVESTMENT CORP. I: Last Reported 2/29/2024

Business Address

1 ROCKEFELLER PLAZA, 11TH FLOOR

NY , NY US 10020

Mailing Address

1 ROCKEFELLER PLAZA, 11TH FLOOR

NY , NY US 10020
Phone Number: 646-722-2971 / State Incorporated: / Fiscal Year End 12 /31
Financials: AccountsPayableAndAccruedLiabilitiesCurrent
Date Value
1 9/30/2023 $459,603.00
2 6/30/2023 $248,024.00
3 3/31/2023 $132,406.00
4 12/31/2022 $812,249.00
5 9/30/2022 $131,070.00
6 6/30/2022 $140,855.00
7 12/31/2021 --
Financials: AdditionalPaidInCapital
Date Value
1 9/30/2023 --
2 6/30/2023 --
3 3/31/2023 --
4 12/31/2022 --
5 9/30/2022 --
6 6/30/2022 --
7 3/31/2022 $24,799.00
8 12/31/2021 $24,799.00
Financials: Assets
Date Value
1 9/30/2023 $43,073,611.00
2 6/30/2023 $84,633,928.00
3 3/31/2023 $83,752,265.00
4 12/31/2022 $83,616,150.00
5 9/30/2022 $83,111,277.00
6 6/30/2022 $83,164,027.00
7 3/31/2022 $319,362.00
8 12/31/2021 $245,025.00
Financials: AssetsCurrent
Date Value
1 9/30/2023 $95,285.00
2 6/30/2023 $131,662.00
3 3/31/2023 $188,372.00
4 12/31/2022 $867,418.00
5 9/30/2022 $905,320.00
6 6/30/2022 $1,054,027.00
7 12/31/2021 $245,025.00
Financials: AssetsHeldInTrust
Date Value
1 9/30/2023 $42,978,326.00
2 12/31/2022 $82,735,662.00
Financials: AssetsHeldInTrustCurrent
Date Value
1 6/30/2023 $84,502,266.00
2 3/31/2023 $83,563,893.00
3 12/31/2022 $82,735,662.00
Financials: AssetsHeldInTrustNoncurrent
Date Value
1 9/30/2023 $42,978,326.00
2 6/30/2023 $84,502,266.00
3 3/31/2023 $83,563,893.00
4 12/31/2022 $82,735,662.00
5 9/30/2022 $82,153,675.00
6 6/30/2022 $82,110,000.00
7 12/31/2021 --
Financials: Cash
Date Value
1 9/30/2023 $5,503.00
2 6/30/2023 $5,169.00
3 3/31/2023 $5,169.00
4 12/31/2022 $710,573.00
5 9/30/2022 $748,475.00
6 6/30/2022 $805,689.00
7 4/30/2022 $1,495,650.00
8 12/31/2021 --
Financials: CashAndCashEquivalentsAtCarryingValue
Date Value
1 9/30/2023 $5,503.00
2 12/31/2022 $710,573.00
Financials: CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents
Date Value
1 9/30/2023 $5,503.00
2 6/30/2023 $5,169.00
3 3/31/2023 $5,169.00
4 12/31/2022 $710,573.00
5 9/30/2022 $748,475.00
6 6/30/2022 $805,688.00
7 3/31/2022 --
8 12/31/2021 --
9 9/30/2021 --
10 7/31/2021 --
Financials: CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalentsPeriodIncreaseDecreaseExcludingExchangeRateEffect
Date Value
1 9/30/2023 $-705,070.00
2 6/30/2023 $-705,404.00
3 3/31/2023 $-705,404.00
4 12/31/2022 $710,573.00
5 9/30/2022 $748,475.00
6 6/30/2022 $805,688.00
7 3/31/2022 --
8 12/31/2021 --
9 9/30/2021 --
Financials: CashFDICInsuredAmount
Date Value
1 6/30/2023 --
2 3/31/2023 --
3 12/31/2022 $460,573.00
4 9/30/2022 $498,000.00
5 6/30/2022 $555,700.00
6 12/31/2021 --
Financials: CashUninsuredAmount
Date Value
1 9/30/2023 --
2 12/31/2022 $460,573.00
Financials: ClassOfWarrantOrRightExercisePriceOfWarrantsOrRights1
Date Value
1 6/30/2023 $11.50
2 3/31/2023 $11.50
3 4/30/2022 $11.50
Financials: ClassOfWarrantOrRightNumberOfSecuritiesCalledByEachWarrantOrRight
Date Value
1 6/30/2023 $1.00
2 3/31/2023 $1.00
3 4/30/2022 $1.00
Financials: CommitmentsAndContingencies
Date Value
1 9/30/2023 --
2 6/30/2023 --
3 3/31/2023 --
4 12/31/2022 --
5 9/30/2022 --
6 6/30/2022 --
7 3/31/2022 --
8 12/31/2021 --
Financials: CommonStockSharesOutstanding
Date Value
1 6/30/2023 $492,000.00
2 3/31/2022 $2,012,500.00
3 12/31/2021 $2,012,500.00
Financials: CommonStockValue
Date Value
1 3/31/2023 $49.00
2 12/31/2022 $49.00
Financials: ConvertibleDebt
Date Value
1 9/30/2023 $1,500,000.00
2 6/30/2023 $1,500,000.00
3 3/31/2023 $1,500,000.00
Financials: CostsAndExpensesRelatedParty
Date Value
1 9/30/2023 $261,880.00
Financials: DebtConversionConvertedInstrumentRate
Date Value
1 9/30/2023 $0.20
2 6/30/2023 $0.20
3 3/31/2023 $0.20
Financials: DebtInstrumentConvertibleLiquidationPreferencePerShare
Date Value
1 6/30/2023 $10.00
2 3/31/2023 $10.00
Financials: DeferredCompensationLiabilityCurrentAndNoncurrent
Date Value
1 6/30/2023 $2,817,500.00
2 3/31/2023 $2,817,500.00
Financials: DeferredRevenueNoncurrent
Date Value
1 9/30/2023 $2,817,500.00
2 6/30/2023 $2,817,500.00
3 3/31/2023 $2,817,500.00
4 12/31/2022 $2,817,500.00
Financials: DepositAssets
Date Value
1 9/30/2023 $85,000.00
2 8/31/2023 $85,000.00
3 7/31/2023 $85,000.00
4 6/30/2023 $85,000.00
Financials: EarningsPerShareBasic
Date Value
1 9/30/2023 $-0.11
2 6/30/2023 $-0.04
3 3/31/2023 $-0.01
4 12/31/2022 $-1.17
5 9/30/2022 $-1.22
6 6/30/2022 $-1.05
7 3/31/2022 --
8 12/31/2021 $0.00
9 9/30/2021 --
Financials: EarningsPerShareDiluted
Date Value
1 9/30/2023 $-0.11
2 6/30/2023 $-0.04
3 3/31/2023 $-0.01
4 12/31/2022 $-1.17
5 9/30/2022 $-1.22
6 6/30/2022 $-1.05
7 3/31/2022 --
8 12/31/2021 $0.00
9 9/30/2021 --
Financials: IncreaseDecreaseInAccountsPayableRelatedParties
Date Value
1 9/30/2023 --
2 9/30/2022 $3,439.00
Financials: IncreaseDecreaseInAccruedLiabilities
Date Value
1 9/30/2023 $39,402.00
2 6/30/2023 $-302,148.00
3 3/31/2023 $-529,675.00
4 12/31/2022 $812,249.00
5 9/30/2022 $131,070.00
6 6/30/2022 $140,855.00
7 3/31/2022 --
8 12/31/2021 --
9 9/30/2021 --
Financials: IncreaseDecreaseInNotesPayableRelatedPartiesCurrent
Date Value
1 3/31/2023 $-13,749.00
2 12/31/2022 $13,749.00
3 9/30/2022 $3,439.00
4 3/31/2022 --
5 12/31/2021 --
6 9/30/2021 --
Financials: IncreaseDecreaseInPrepaidExpense
Date Value
1 9/30/2023 $-100,133.00
2 6/30/2023 $-43,422.00
3 3/31/2023 $13,288.00
4 12/31/2022 $169,915.00
5 9/30/2022 $209,127.00
6 6/30/2022 $248,338.00
7 3/31/2022 --
8 12/31/2021 --
9 9/30/2021 --
Financials: InterestIncomeSecuritiesOtherUSGovernment
Date Value
1 6/30/2023 $1,766,604.00
2 3/31/2023 $828,231.00
3 6/30/2022 --
4 3/31/2022 --
Financials: InvestmentIncomeInterest
Date Value
1 9/30/2023 $2,705,381.00
2 12/31/2022 $625,662.00
3 9/30/2022 $43,675.00
4 12/31/2021 --
5 9/30/2021 --
Financials: Liabilities
Date Value
1 9/30/2023 $3,807,732.00
2 6/30/2023 $3,191,182.00
3 3/31/2023 $2,949,906.00
4 12/31/2022 $3,643,498.00
5 9/30/2022 $2,952,009.00
6 6/30/2022 $2,965,230.00
7 12/31/2021 $222,729.00
Financials: LiabilitiesAndStockholdersEquity
Date Value
1 9/30/2023 $43,073,611.00
2 6/30/2023 $84,633,928.00
3 3/31/2023 $83,752,265.00
4 12/31/2022 $83,616,150.00
5 9/30/2022 $83,111,277.00
6 6/30/2022 $83,164,027.00
7 3/31/2022 $319,362.00
8 12/31/2021 $245,025.00
Financials: LiabilitiesCurrent
Date Value
1 9/30/2023 $990,232.00
2 6/30/2023 $373,682.00
3 3/31/2023 $132,406.00
4 12/31/2022 $825,998.00
5 9/30/2022 $134,509.00
6 6/30/2022 $147,730.00
7 3/31/2022 $297,529.00
8 12/31/2021 $222,729.00
Financials: LiquidationBasisOfAccountingAccruedCostsToDisposeOfAssetsAndLiabilities
Date Value
1 6/30/2023 $100,000.00
2 3/31/2023 $100,000.00
3 12/31/2022 $100,000.00
4 9/30/2022 $100,000.00
5 6/30/2022 $100,000.00
6 3/31/2022 $100,000.00
Financials: MinimumNetWorthRequiredForCompliance
Date Value
1 6/30/2023 $5,000,001.00
2 3/31/2023 $5,000,001.00
3 12/31/2022 $5,000,001.00
4 9/30/2022 $5,000,001.00
5 6/30/2022 $5,000,001.00
6 3/31/2022 $5,000,001.00
Financials: NetCashProvidedByUsedInFinancingActivities
Date Value
1 9/30/2023 $-42,717,717.00
2 6/30/2023 --
3 12/31/2022 $83,142,189.00
4 9/30/2022 $83,142,189.00
5 6/30/2022 $83,149,064.00
6 12/31/2021 $2,704.00
7 9/30/2021 --
Financials: NetCashProvidedByUsedInInvestingActivities
Date Value
1 9/30/2023 $42,717,717.00
2 6/30/2023 --
3 12/31/2022 $-82,110,000.00
4 9/30/2022 $-82,110,000.00
5 6/30/2022 $-82,110,000.00
6 12/31/2021 --
7 9/30/2021 --
Financials: NetCashProvidedByUsedInOperatingActivities
Date Value
1 9/30/2023 $-705,070.00
2 6/30/2023 $-705,404.00
3 3/31/2023 $-705,404.00
4 12/31/2022 $-321,616.00
5 9/30/2022 $-283,714.00
6 6/30/2022 $-233,375.00
7 3/31/2022 --
8 12/31/2021 $-2,704.00
9 9/30/2021 --
Financials: NetIncomeLoss
Date Value
1 9/30/2023 $1,860,776.00
2 6/30/2023 $1,319,926.00
3 3/31/2023 $679,539.00
4 12/31/2022 $-352,037.00
5 9/30/2022 $-165,421.00
6 6/30/2022 $-125,892.00
7 3/31/2022 $-463.00
8 12/31/2021 $-2,704.00
9 9/30/2021 --
Financials: NetInvestmentInLeaseCurrent
Date Value
1 3/31/2023 $148,692.00
2 3/31/2022 $463.00
Financials: NotesPayableCurrent
Date Value
1 6/30/2023 $125,658.00
2 3/31/2023 --
3 12/31/2022 $13,749.00
Financials: OperatingCostsAndExpenses
Date Value
1 9/30/2023 $844,605.00
2 6/30/2023 $446,678.00
3 3/31/2023 $148,692.00
4 9/30/2022 $209,096.00
5 6/30/2022 $125,892.00
6 3/31/2022 $463.00
Financials: OperatingIncomeLoss
Date Value
1 9/30/2023 $-844,605.00
2 6/30/2023 $-446,678.00
3 3/31/2023 $-148,692.00
4 12/31/2022 $-977,699.00
5 9/30/2022 $-209,096.00
6 6/30/2022 $-125,429.00
7 3/31/2022 $-463.00
8 12/31/2021 $-2,704.00
9 9/30/2021 --
Financials: OtherLoansPayable
Date Value
1 9/30/2023 $275,659.00
2 6/30/2023 $125,658.00
3 3/31/2023 --
4 12/31/2022 $13,749.00
Financials: OtherNoncashExpense
Date Value
1 3/31/2023 --
2 3/31/2022 $463.00
Financials: OtherUnderwritingExpense
Date Value
1 3/31/2023 $0.35
Financials: PaymentsForRepurchaseOfOtherEquity
Date Value
1 9/30/2023 $42,717,717.00
2 9/30/2022 --
Financials: PaymentsForUnderwritingExpense
Date Value
1 6/30/2023 $4,427,500.00
2 3/31/2023 $4,427,500.00
3 12/31/2022 $4,427,500.00
4 9/30/2022 $4,427,500.00
5 6/30/2022 $4,427,500.00
6 3/31/2022 $4,427,500.00
Financials: PaymentsOfStockIssuanceCosts
Date Value
1 9/30/2023 --
2 6/30/2023 --
3 12/31/2022 $690,107.00
4 9/30/2022 $690,107.00
5 6/30/2022 $690,107.00
6 12/31/2021 $22,296.00
7 9/30/2021 --
Financials: PaymentsToAcquireInvestments
Date Value
1 9/30/2023 --
2 6/30/2023 --
3 9/30/2022 $82,110,000.00
4 6/30/2022 $82,110,000.00
Financials: PreferredStockParOrStatedValuePerShare
Date Value
1 9/30/2023 $0.00
2 6/30/2023 $0.00
3 3/31/2023 $0.00
4 12/31/2022 $0.00
5 9/30/2022 $0.00
6 6/30/2022 $0.00
7 3/31/2022 $0.00
8 12/31/2021 $0.00
Financials: PreferredStockSharesAuthorized
Date Value
1 9/30/2023 $1,000,000.00
2 6/30/2023 $1,000,000.00
3 3/31/2023 $1,000,000.00
4 12/31/2022 $1,000,000.00
5 9/30/2022 $1,000,000.00
6 6/30/2022 $1,000,000.00
7 3/31/2022 $1,000,000.00
8 12/31/2021 $1,000,000.00
Financials: PreferredStockSharesIssued
Date Value
1 9/30/2023 --
2 6/30/2023 --
3 3/31/2023 --
4 12/31/2022 --
5 9/30/2022 --
6 6/30/2022 --
7 4/30/2022 --
8 3/31/2022 --
9 12/31/2021 --
Financials: PreferredStockSharesOutstanding
Date Value
1 9/30/2023 --
2 6/30/2023 --
3 3/31/2023 --
4 12/31/2022 --
5 9/30/2022 --
6 6/30/2022 --
7 3/31/2022 --
8 12/31/2021 --
Financials: PreferredStockValue
Date Value
1 9/30/2023 --
2 6/30/2023 --
3 3/31/2023 --
4 12/31/2022 --
5 9/30/2022 --
6 6/30/2022 --
7 3/31/2022 --
8 12/31/2021 --
Financials: PrepaidExpenseCurrent
Date Value
1 9/30/2023 $89,782.00
2 6/30/2023 $126,493.00
3 3/31/2023 $183,203.00
4 12/31/2022 $156,845.00
5 9/30/2022 $156,845.00
6 6/30/2022 $248,338.00
7 12/31/2021 --
Financials: PrepaidExpenseNoncurrent
Date Value
1 9/30/2023 --
2 6/30/2023 --
3 3/31/2023 --
4 12/31/2022 $13,070.00
5 9/30/2022 $52,282.00
Financials: ProceedsFromIssuanceInitialPublicOffering
Date Value
1 9/30/2023 --
2 6/30/2023 --
3 12/31/2022 $80,500,000.00
4 9/30/2022 $80,500,000.00
5 6/30/2022 $80,500,000.00
6 12/31/2021 --
7 9/30/2021 --
Financials: ProceedsFromIssuanceOfCommonStock
Date Value
1 9/30/2023 --
2 6/30/2023 --
3 12/31/2022 --
4 9/30/2022 $351,150.00
5 6/30/2022 $351,150.00
6 12/31/2021 $25,000.00
Financials: ProceedsFromIssuanceOfPrivatePlacement
Date Value
1 9/30/2023 --
2 6/30/2023 --
3 12/31/2022 $4,920,000.00
4 9/30/2022 $4,920,000.00
5 6/30/2022 $4,920,000.00
6 4/30/2022 $82,110,000.00
7 12/31/2021 --
8 9/30/2021 --
Financials: ProceedsFromRelatedPartyDebt
Date Value
1 6/30/2023 --
2 12/31/2022 $351,150.00
3 9/30/2022 $351,150.00
4 6/30/2022 $6,875.00
5 12/31/2021 --
6 9/30/2021 --
Financials: RelatedPartyTaxExpenseEffectOfChangeInAllocationMethodology
Date Value
1 6/30/2023 $111,999.00
Financials: RepaymentsOfRelatedPartyDebt
Date Value
1 9/30/2023 --
2 12/31/2022 $328,854.00
3 9/30/2022 $328,854.00
4 6/30/2022 $328,854.00
5 4/30/2022 $328,854.00
6 12/31/2021 --
7 9/30/2021 --
Financials: RetainedEarningsAccumulatedDeficit
Date Value
1 9/30/2023 $-3,712,697.00
2 6/30/2023 $-3,059,770.00
3 3/31/2023 $-2,761,784.00
4 12/31/2022 $-2,763,260.00
5 9/30/2022 $-1,994,657.00
6 6/30/2022 $-1,911,453.00
7 3/31/2022 $-3,167.00
8 12/31/2021 $-2,704.00
Financials: SaleOfStockPricePerShare
Date Value
1 9/30/2023 $0.04
2 6/30/2023 $0.04
3 11/30/2021 $0.01
Financials: ShareBasedCompensationArrangementByShareBasedPaymentAwardEquityInstrumentsOtherThanOptionsGrantsInPeriodIntrinsicValue
Date Value
1 9/30/2023 $1.37
2 6/30/2023 $1.37
3 3/31/2023 $1.37
Financials: SharePrice
Date Value
1 9/30/2023 $12.00
2 6/30/2023 $12.00
3 3/31/2023 $12.00
4 12/31/2022 $16.50
5 9/30/2022 $16.50
6 6/30/2022 $16.50
7 4/30/2022 $11.50
8 3/31/2022 $16.50
Financials: SharesSubjectToMandatoryRedemptionSettlementTermsNumberOfShares
Date Value
1 7/31/2023 $4,076,118.00
2 6/30/2023 $4,076,118.00
Financials: StockholdersEquity
Date Value
1 9/30/2023 $-3,712,447.00
2 6/30/2023 $-3,059,520.00
3 3/31/2023 $-2,761,534.00
4 12/31/2022 $-2,763,010.00
5 9/30/2022 $-1,994,407.00
6 6/30/2022 $-1,911,203.00
7 3/31/2022 $21,833.00
8 12/31/2021 $22,296.00
9 9/30/2021 --
10 7/31/2021 --
Financials: StockIssuedDuringPeriodValueNewIssues
Date Value
1 3/31/2023 $150,168.00
2 6/30/2022 $80,500,000.00
Financials: TemporaryEquityAccretionToRedemptionValue
Date Value
1 9/30/2023 $1,193,777.00
2 6/30/2023 $938,373.00
3 3/31/2023 $828,231.00
4 12/31/2022 $8,785,821.00
5 9/30/2022 $43,675.00
6 6/30/2022 $8,160,159.00
Financials: TemporaryEquityAccretionToRedemptionValueAdjustment
Date Value
1 9/30/2023 $1,193,777.00
2 6/30/2023 $1,766,604.00
3 3/31/2023 $-828,231.00
4 12/31/2022 $8,785,821.00
5 9/30/2022 $43,675.00
Financials: TemporaryEquityAggregateAmountOfRedemptionRequirement
Date Value
1 7/31/2023 $42,717,717.00
Financials: TemporaryEquityCarryingAmountAttributableToParent
Date Value
1 9/30/2023 $42,978,326.00
2 6/30/2023 $84,502,266.00
3 3/31/2023 $83,563,893.00
4 12/31/2022 $82,735,662.00
5 9/30/2022 $82,153,675.00
6 6/30/2022 $82,110,000.00
7 12/31/2021 --
Financials: TemporaryEquityIssuePeriodIncreaseOrDecrease
Date Value
1 9/30/2023 $-652,927.00
2 9/30/2022 $-83,204.00
Financials: TemporaryEquityLiquidationPreferencePerShare
Date Value
1 6/30/2023 $10.20
2 3/31/2023 $10.20
3 12/31/2022 $10.20
4 9/30/2022 $10.20
5 6/30/2022 $10.20
6 3/31/2022 $10.20
Financials: TemporaryEquityRedemptionPricePerShare
Date Value
1 9/30/2023 $10.82
2 6/30/2023 $10.50
3 3/31/2023 $10.38
4 12/31/2022 $10.28
5 9/30/2022 $10.20
6 6/30/2022 $10.20
7 12/31/2021 $10.28
Financials: TemporaryEquitySharesOutstanding
Date Value
1 3/31/2023 $8,050,000.00
2 12/31/2022 $8,050,000.00
3 9/30/2022 $8,050,000.00
4 6/30/2022 $8,050,000.00
5 3/31/2022 $2,012,500.00
6 12/31/2021 $8,050,000.00
Financials: UnrecognizedTaxBenefitsIncomeTaxPenaltiesExpense
Date Value
1 6/30/2023 $111,744.00
2 3/31/2023 $111,744.00
3 3/31/2022 $111,744.00
Financials: WeightedAverageNumberOfDilutedSharesOutstanding
Date Value
1 9/30/2023 $2,504,500.00
2 6/30/2023 $2,504,500.00
3 3/31/2023 $2,504,500.00
4 12/31/2022 $2,345,442.00
5 9/30/2022 $2,504,500.00
6 6/30/2022 $2,183,749.00
7 3/31/2022 $2,012,500.00
8 12/31/2021 $1,750,000.00
9 9/30/2021 --
Financials: WeightedAverageNumberOfSharesOutstandingBasic
Date Value
1 9/30/2023 $2,504,500.00
2 6/30/2023 $2,504,500.00
3 3/31/2023 $2,504,500.00
4 12/31/2022 $2,345,442.00
5 9/30/2022 $2,504,500.00
6 6/30/2022 $2,353,115.00
7 3/31/2022 $2,012,500.00
8 12/31/2021 $1,750,000.00
9 9/30/2021 --
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