Company: OBA
Filing Date: 2025-06-05
Form Type: S-1
Source: 0001213900-25-051650
Chunk: 338

Company: Oxley Bridge Acquisition Ltd
Filing Date: 2025-06-05
Form: S-1
Chunk 338
---
 25,000 |   |
| Net loss                                        |     |               — |     |        |   — |     |            |      — |     |             | (48,833 | ) |     |               | (48,833 | ) |
| Balance as of December 31, 2024                 |     |       6,325,000 |     | $      | 633 |     | $          | 24,367 |     | $           | (48,833 | ) |     | $             | (23,833 | ) |

____________ (1)In May 2025, the Company effected a share capitalization pursuant to which the Company issued an additional 575,000 founder shares resulting in an aggregate of 6,325,000 founder shares outstanding to the Sponsor. All shares and associated amounts have been retroactively restated to reflect the share capitalization (Note 5 and 7). (2)Includes up to 825,000 Class B ordinary shares subject to forfeiture if the over -allotmentoption is not exercised in full or in part by the underwriters (Note 7). The accompanying notes are an integral part of the financial statements.

F-5

Oxley Bridge Acquisition Limited
STATEMENT OF CASH FLOWS FOR THE PERIOD FROM AUGUST 6, 2024 (INCEPTION) THROUGH DECEMBER 31, 2024

| Cash flows from operating activities:                                                       |     |   |         |   |
|:--------------------------------------------------------------------------------------------|:----|:--|--------:|:--|
| Net loss                                                                                    |     | $ | (48,833 | ) |
| Adjustments to reconcile net loss to net cash used in operating activities:                 |     |   |         |   |
| General and administrative costs paid by Sponsor under promissory note – related party      |     |   |  14,777 |   |
| Changes in operating assets and liabilities:                                                |     |   |         |   |
| Accounts payable                                                                            |     |   |  34,056 |   |
| Net cash used in operating activities                                                       |     |   |       — |   |
| Net change in cash                                                                          |     |   |       — |   |
| Cash, beginning of the period                                                               |     |   |       — |   |
| Cash, end of the period                                                                     |     | $ |       — |   |
| Supplemental disclosure of cash flow information: