to 17,115,963 - Proceeds from exercise of warrants 16,324,832 - Proceeds from convertible notes payable 4,844,625 2,798,410 Proceeds from exercise of options 86,755 - Proceeds from note payable, net of offering costs - 750,000 Repayments of note payable (1,250,000) (1,500,000) Proceeds from note payable, related party - 449,000 Repayments of notes payable, related party (70,000) (449,000) Issuance of common stock pursuant to Merger, net of - 10,026,258 Proceeds from simple agreement for future equity - 2,666,953 Repayment of lease liability financing (1,321,714) (1,658,359) ------------- ------------- Net cash provided by financing activities 71,579,597 13,083,262 ------------- ------------- Net change in cash and cash equivalents 50,906,377 786,421 Cash and cash equivalents at beginning of period 6,756 2,715,719 ------------- ------------- Cash and cash equivalents at end of period $50,913,133 $3,502,140 ============= =============
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SOURCE Serve Robotics Inc.
(END) Dow Jones Newswires
November 07, 2024 16:10 ET (21:10 GMT)
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