lective Audience(CAUD) - 2023 Q2 - Quarterly Report
lective Audience(CAUD)2023-08-13 16:00
Risks and Uncertainties As of June 30, 2023, the Company had cash of $148,389 and working capital deficiency of $2,743,844. The Company's liquidity needs through the date of this filing have been satisfied through proceeds from notes payable and advances from a related party and from the issuance of common stock. The liquidity needs consist of paying existing accounts payable, identifying and evaluating prospective business combination candidates, performing due diligence on prospective target businesses, p ...