Company: WELNF
Filing Date: 2025-11-12
Form Type: DEFM14A
Source: 0001104659-25-109577
Chunk: 539

Company: Integrated Wellness Acquisition Corp
Filing Date: 2025-11-12
Form: DEFM14A
Chunk 539
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QUISITION CORP CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (UNAUDITED)

| ​                                                                              
 ​                                                                              
 Cash Flows from Operating Activities:                                          | ​ 
 ​ 
 ​ | ​ 
 ​ 
 ​ | Six Months EndedJune 30, 
 2025                     
 ​                        | ​ |          ​ | ​ | ​ 
 ​ | ​ 
 ​ | 2024 
 ​    | ​ |          ​ | ​ | ​ 
 ​ 
 ​ |
|:-------------------------------------------------------------------------------|:--|:--|:-------------------------|:--|-----------:|:--|:--|:--|:-----|:--|-----------:|:--|:--|
| Net loss                                                                       | ​ | ​ | ​                        | $ |   -316,854 | ​ | ​ | ​ | ​    | $ |   -115,508 | ​ | ​ |
| Adjustments to reconcile net loss to net cash provided by operatingactivities: | ​ | ​ | ​                        | ​ |          ​ | ​ | ​ | ​ | ​    | ​ |          ​ | ​ | ​ |
| Sponsor waiver of administrative services fee                                  | ​ | ​ | ​                        | ​ |     60,000 | ​ | ​ | ​ | ​    | ​ |    300,000 | ​ | ​ |
| Changes in operating assets and liabilities:                                   | ​ | ​ | ​                        | ​ |          ​ | ​ | ​ | ​ | ​    | ​ |          ​ | ​ | ​ |
| Prepaid expenses                                                               | ​ | ​ | ​                        | ​ |          — | ​ | ​ | ​ | ​    | ​ |    -99,457 | ​ | ​ |
| Accounts payable and accrued expenses                                          | ​ | ​ | ​                        | ​ |    333,027 | ​ | ​ | ​ | ​    | ​ |    570,994 | ​ | ​ |
| Due from related party                                                         | ​ | ​ | ​                        | ​ |     -1,059 | ​ | ​ | ​ | ​    | ​ |       -965 | ​ | ​ |
| Net cash provided by operating activities                                      | ​ | ​ | ​                        | ​ |     75,114 | ​ | ​ | ​ | ​    | ​ |    655,064 | ​ | ​ |
| Cash Flows from Financing Activities:                                          | ​ | ​ | ​                        | ​ |          ​ | ​