Company: PFSA
Filing Date: 2025-08-25
Form Type: 424B3
Source: 0001213900-25-080387
Chunk: 277

Company: Profusa, Inc.
Filing Date: 2025-08-25
Form: 424B3
Chunk 277
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4,350,314 |     |   |  5,231 |     |       5,293,175 |     |   | 13,701 |     |       8,220,445 |     |   | 46,217 |     |    5,604,651 |     |   | — |     |            | 5,758 |     |             | (127,674 | ) |     |               | (121,916 | ) |
| Stock-based compensation expense |     |               — |     |   |      — |     |               — |     |   |      — |     |               — |     |   |      — |     |            — |     |   | — |     |            |    82 |     |             | —        |   |     |               |       82 |   |
| Net loss                         |     |               — |     |   |      — |     |               — |     |   |      — |     |               — |     |   |      — |     |            — |     |   | — |     |            |     — |     |             | (2,348   | ) |     |               |   (2,348 | ) |
| Balance at June 30, 2025         |     |       4,350,314 |     | $ |  5,231 |     |       5,293,175 |     | $ | 13,701 |     |       8,220,445 |     | $ | 46,217 |     |    5,604,651 |     | $ | — |     | $          | 5,840 |     | $           | (130,022 | ) |     | $             | (124,182 | ) |

The accompanying notes are an integral part of these condensed consolidated financial statements.

F-32

PROFUSA, INC. AND SUBSIDIARY
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS
(UNAUDITED)
(IN THOUSANDS)

| Cash flows from operating activities                                        |     | Six Months Ended 
 June 30,         
 2025             |        |   |     | 2024 |        |   |
|:----------------------------------------------------------------------------|:----|:-----------------|-------:|:--|:----|:-----|-------:|:--|
| Net loss                                                                    |