Company: INV
Filing Date: 2025-04-15
Form Type: POS AM
Source: 0001628280-25-017889
Chunk: 70

Company: Innventure, Inc.
Filing Date: 2025-04-15
Form: POS AM
Chunk 70
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|                                                                       |     | October 2, 2024 through December 31, 2024 | Successor |     | January 1, 2024 through October 1, 2024 | Predecessor |     | Year ended December 31, 2024 | S/P Combined 2024 |     | Year ended December 31, 2023 | Predecessor |     | Amount |  Change |     | % Change |        |   |
|:----------------------------------------------------------------------|:----|:------------------------------------------|----------:|:----|:----------------------------------------|------------:|:----|:-----------------------------|------------------:|:----|:-----------------------------|------------:|:----|:-------|--------:|:----|:---------|-------:|:--|
| Net Cash Used in Operating Activities                                 |     | $                                         |   -29,214 |     | $                                       |     -18,848 |     | $                            |           -48,062 |     | $                            |     -19,476 |     | $      | -28,586 |     |          |  146.8 | % |
| Net Cash Provided by (Used in) Investing Activities                   |     |                                           |     6,822 |     |                                         |      -5,957 |     |                              |               865 |     |                              |      -4,667 |     |        |   5,532 |     |          |  118.5 | % |
| Net Cash Provided by Financing Activities                             |     |                                           |    33,466 |     |                                         |      38,441 |     |                              |            71,907 |     |                              |      19,174 |     |        |  52,733 |     |          |  275.0 | % |
| Net Increase (Decrease) in Cash, Cash Equivalents and Restricted Cash |     | $                                         |    11,074 |     | $                                       |      13,636 |     | $                            |            24,710 |     | $                            |      -4,969 |     | $      |  29,679 |     |          | -597.3 | % |

Net Cash Used in Operating Activities

Cash flows used in operating activities were $48,062 for the combined twelve months ended December 31, 2024, as compared to $ 19,476for the year ended December