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Melar Acquisition Corp. I/Cayman

Company overview

Market capitalization
—
Employees
0
Latest publication
2026-09-29
About Melar Acquisition Corp. I/Cayman

Melar Acquisition Corp. I does not have significant operations. It intends to effect a merger, amalgamation, share exchange, asset acquisition, share purchase, reorganization, or similar business combination with one or more businesses or entities. Melar Acquisition Corp. was incorporated in 2024 and is based in New York, New York.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Total Revenue0USD0USD0USD0USD0USD0USD0USD0USD
Selling General Administrative739,221USD373,735USD712,021USD233,288USD156,948USD129,657USD130,378USD88,594USD
Total Operating Expenses739,221USD373,735USD712,021USD233,288USD156,948USD129,657USD130,378USD88,594USD
Operating Income-739,221USD-373,735USD-712,021USD-233,288USD-156,948USD-129,657USD-130,378USD-88,594USD
Interest Income156,235USD160,998USD392,479USD2,709USD207USD2,531,125USD2,364,561USD167,532USD
Interest Expense152,631USD156,022USD383,801USD109USD0USD—0USD0USD
Net Interest Income3,604USD4,976USD8,678USD2,600USD207USD-2,531,125USD2,364,561USD167,532USD
Income Before Tax778,261USD1,293,497USD1,109,702USD1,556,238USD1,579,993USD1,746,234USD2,375,937USD106,303USD
Net Income778,261USD1,293,497USD1,109,702USD1,556,238USD1,579,993USD1,746,234USD2,375,937USD106,303USD
Net Income From Continuing Ops778,261USD1,293,497USD1,109,702USD1,556,238USD1,579,993USD1,746,234USD2,375,937USD106,303USD
Ebitda-739,221USD1,449,519USD1,493,503USD1,556,347USD-156,948USD1,746,234USD2,375,937USD-88,594USD
Total Other Income Expense Net1,517,482USD1,667,232USD1,821,723USD1,789,526USD1,736,941USD1,875,891USD2,506,315USD194,897USD
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USD
Total Revenue0USD—
Selling General Administrative1,475,992USD—
Total Operating Expenses1,475,992USD367,764USD
Operating Income-1,475,992USD-367,764USD
Interest Income556,393USD—
Interest Expense539,932USD—
Net Interest Income16,461USD—
Income Before Tax5,539,430USD4,209,000USD
Net Income5,539,430USD4,209,000USD
Net Income From Continuing Ops5,539,430USD—
Ebitda-1,475,992USD4,209,000USD
Total Other Income Expense Net7,015,422USD4,577,000USD
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USDQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USD
Total Assets47,024,436USD176,929,716USD175,314,766USD173,788,332USD168,908,363USD167,093,193USD165,521,616USD163,745,473USD
Total Current Assets4,150,044USD4,009,861USD3,908,789USD4,044,611USD977,687USD916,323USD1,043,748USD1,104,701USD
Total Liabilities7,631,875USD———————
Total Current Liabilities5,916,899USD5,131,661USD4,294,972USD4,062,035USD291,768USD32,836USD41,252USD11,343USD
Total Stockholder Equity-3,481,831USD165,198,055USD164,419,794USD163,126,297USD162,016,595USD160,460,357USD158,880,364USD157,134,130USD
Total Equity Including Noncontrolling Interest39,392,561USD———————
Accounts Payable1,576,929USD1,186,019USD—————11,343USD
Retained Earnings-3,482,393USD-7,722,362USD-6,986,745USD-6,617,986USD-5,914,643USD-5,683,955USD-5,527,214USD-5,397,782USD
Other Current Assets—33,560USD-171,335,125USD-169,612,768USD191,263USD223,211USD165,494USD170,603USD
Total Liab—11,731,661USD10,894,972USD10,662,035USD6,891,768USD6,632,836USD6,641,252USD6,611,343USD
Other Current Liab—1,186,019USD576,961USD500,046USD63,580USD32,836USD41,252USD11,343USD
Common Stock—172,920,417USD171,406,539USD169,744,283USD167,931,238USD166,144,312USD164,407,578USD162,531,912USD
Capital Stock—172,920,417USD171,406,539USD169,744,283USD167,931,238USD166,144,312USD—162,531,912USD
Cash—14,205USD32,075USD286,258USD555,805USD693,112USD878,254USD934,098USD
Cash And Short Term Investments—14,205USD171,438,052USD170,029,979USD555,805USD693,112USD878,254USD934,098USD
Net Debt—3,931,437USD3,685,936USD3,275,731USD-327,617USD-693,112USD-878,254USD-934,098USD
Short Term Debt—3,945,642USD3,718,011USD3,561,989USD228,188USD———
Short Long Term Debt—3,870,642USD3,718,011USD3,561,989USD228,188USD———
Short Long Term Debt Total—3,945,642USD3,718,011USD3,561,989USD228,188USD———
Short Term Investments—172,919,855USD171,405,977USD169,743,721USD167,930,676USD166,143,750USD—1,597,995USD
Net Receivables—3,962,096USD3,805,862USD3,627,400USD230,619USD———
Common Stock Shares Outstanding—16,000,000shares16,000,000shares16,000,000shares21,621,622shares21,622,000shares16,000,000shares16,000,000shares
Non Current Assets Total—172,919,855USD171,405,977USD169,743,721USD167,930,676USD166,176,870USD164,477,868USD162,640,772USD
Non Current Liabilities Total—6,600,000USD6,600,000USD6,600,000USD6,600,000USD6,600,000USD6,600,000USD6,600,000USD
Non Currrent Assets Other—172,919,855USD171,405,977USD169,743,721USD167,930,676USD166,176,870USD70,852USD109,422USD
Net Working Capital—-1,121,800USD-386,183USD-17,424USD685,919USD883,487USD—1,093,358USD
Unclassified Current Assets—-172,919,855USD-171,335,125USD-169,612,768USD-167,930,676USD-166,143,750USD—-1,597,995USD
Unclassified Current Liabilities—-5,056,661USD-3,718,011USD-3,561,989USD————
Unclassified Non Current Liabilities—6,600,000USD6,600,000USD6,600,000USD6,600,000USD6,600,000USD6,600,000USD6,600,000USD
Unclassified Equity—-172,920,417USD-171,406,539USD-169,744,283USD-167,931,238USD-166,144,312USD—-162,531,912USD
Other Assets——————1USD-1,427,392USD
Unclassified Non Current Assets——————164,407,015USD162,531,350USD
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USD
Total Assets175,314,766USD165,521,616USD
Other Current Assets-171,335,125USD165,494USD
Total Liab10,894,972USD6,641,252USD
Total Stockholder Equity164,419,794USD158,880,364USD
Other Current Liab576,961USD41,252USD
Common Stock171,406,539USD164,407,578USD
Capital Stock171,406,539USD164,407,578USD
Retained Earnings-6,986,745USD-5,527,214USD
Cash32,075USD878,254USD
Cash And Short Term Investments171,438,052USD878,254USD
Total Current Assets3,908,789USD1,043,748USD
Total Current Liabilities4,294,972USD41,252USD
Net Debt3,685,936USD-878,254USD
Short Term Debt3,718,011USD—
Short Long Term Debt3,718,011USD—
Short Long Term Debt Total3,718,011USD—
Short Term Investments171,405,977USD—
Net Receivables3,805,862USD—
Common Stock Shares Outstanding16,000,000shares21,622,000shares
Non Current Assets Total171,405,977USD164,477,868USD
Non Current Liabilities Total6,600,000USD6,600,000USD
Non Currrent Assets Other171,405,977USD70,852USD
Net Working Capital-386,183USD1,002,496USD
Unclassified Current Assets-171,335,125USD—
Unclassified Current Liabilities-3,718,011USD—
Unclassified Non Current Liabilities6,600,000USD6,600,000USD
Unclassified Equity-171,406,539USD-164,407,578USD
Unclassified Non Current Assets—164,407,016USD
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Cash flow YTD

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USD
Change To Liabilities999,968USD
Change In Working Capital999,968USD
Operating Cash Flow-325,007USD
Investing Cash Flow131,489,166USD
Net Common Stock Issuance-131,489,166USD
Unclassified Financing Cash Flow295,000USD
Financing Cash Flow-131,194,166USD
Change In Cash-30,007USD
End Cash Flow2,068USD
SourceDisclosureDeterministicFinal

Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Net Income778,261USD1,293,497USD1,109,702USD1,556,238USD1,579,993USD1,746,234USD2,375,937USD106,303USD
Other Non Cash Items-1,517,481USD-1,667,186USD-1,821,614USD-1,789,357USD-1,736,734USD-1,875,666USD-2,505,572USD-199,823USD
Change In Working Capital646,350USD137,016USD496,776USD95,812USD-28,401USD73,588USD26,607USD-295,289USD
Total Cash From Operating Activities-92,870USD-236,673USD-215,136USD-137,307USD-185,142USD-55,844USD-103,028USD-388,809USD
Capital Expenditures0USD-3USD0USD-3USD0USD0USD0USD0USD
Free Cash Flow-92,870USD-236,673USD-215,136USD-137,310USD-185,142USD-55,844USD-103,028USD-388,809USD
Net Borrowings75,000USD0USD2,950,000USD228,079USD0USD0USD0USD—
Total Cash From Financing Activities75,000USD0USD2,950,000USD228,079USD0USD0USD-2,447USD161,425,935USD
Change In Cash-17,870USD-254,183USD-269,547USD-137,307USD-185,142USD-55,844USD-103,028USD161,037,126USD
Begin Period Cash Flow32,075USD286,258USD555,805USD693,112USD878,254USD934,098USD1,037,126USD-160,000,000USD
End Period Cash Flow14,205USD32,075USD286,258USD555,805USD693,112USD878,254USD934,098USD1,037,126USD
Other Cashflows From Financing Activities75,000USD3,178,079USD—————4,675,324USD
Total Cashflows From Investing Activities—-17,510USD-3,004,411USD-228,079USD——-160,000,000USD-160,000,000USD
Issuance Of Capital Stock—0USD0USD——0USD0USD157,000,000USD
Other Cashflows From Investing Activities—-17,510USD-3,004,411USD-228,079USD——-160,000,000USD-160,000,000USD
Unclassified Financing Cash Flow—-3,178,079USD——————
Investments——-3,004,411USD——0USD0USD-160,000,000USD
Unclassified Investing Cash Flow——3,004,411USD————160,000,000USD
Change To Account Receivables———————2,447USD
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USD
Net Income5,539,430USD4,209,339USD
Other Non Cash Items-7,014,891USD-4,559,479USD
Change In Working Capital701,203USD-195,094USD
Total Cash From Operating Activities-774,258USD-545,234USD
Capital Expenditures0USD-4USD
Free Cash Flow-774,258USD-545,230USD
Total Cashflows From Investing Activities-3,250,000USD-160,000,000USD
Net Borrowings3,178,079USD—
Total Cash From Financing Activities3,178,079USD161,423,488USD
Issuance Of Capital Stock0USD—
Change In Cash-846,179USD878,254USD
Begin Period Cash Flow878,254USD—
End Period Cash Flow32,075USD878,254USD
Other Cashflows From Investing Activities-3,250,000USD—
Other Cashflows From Financing Activities3,178,079USD162,000,000USD
Unclassified Financing Cash Flow-3,178,079USD—
Unclassified Investing Cash Flow—-159,999,996USD
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

No revenue breakdown is currently published for this company.

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.