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Lakeshore Acquisition III Corp.

Lakeshore Acquisition III Corp. (Nasdaq: LCCC) is a blank check company incorporated in the Cayman Islands on October 21, 2024, formed for the purpose of completing a business combination with an unidentified target. The company generates no operating revenue. Its only income prior to a business combination is interest earned on IPO proceeds held in a trust account. As of December 31, 2025, the company had not commenced any operations, with all activity since inception consisting of organizational work, the IPO completed in April-May 2025, and searching for a target. Ordinary shares and rights trade on the Nasdaq Global Market under symbols LCCC and LCCCR, respectively, with units trading under LCCCU. The company has stated no restriction to a particular industry, with target geography spanning North America, South America, Europe, or Asia. The underwriting agreement for the IPO was dated April 29, 2025, with A.G.P./Alliance Global Partners acting as representative of the underwriters.

Products & Services

Blank check special purpose acquisition vehicle. Securities include public units (each containing ordinary shares and rights), ordinary shares (LCCC), and rights (LCCCR), all listed on Nasdaq.

Revenue Model

No operating revenue as of December 31, 2025. Non-operating income consists of interest earned on cash and marketable securities held in the trust account from IPO proceeds. Operating revenue will not be generated until after completion of an initial business combination.

Customers & Markets

No customers or operating end markets as of December 31, 2025. The end market is determined by the target business identified for the initial business combination, which had not been selected as of the filing date.

Geographic Exposure

Incorporated in the Cayman Islands. Administered from outside the United States. Majority of assets located within the United States as of the filing. Stated target geography for business combination includes North America, South America, Europe, or Asia.

Financial Snapshot

Revenue
TTM
$509.8K
Gross Margin
Last 4 Quarters
N/A
Net Income
TTM
$1.925M
Current Assets
2026 Q2
Current Liabilities
2026 Q2
Current Ratio
Last 4 Quarters
N/A
Total Assets
2026 Q2
Total Liabilities
2026 Q2
Book Value
2026 Q2
$69.98M
Cash
2026 Q2
P/E
TTM
48.72
Free Cash Flow
Last 4 Quarters
N/A

Stock Price

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Market Cap: $93.77 Million

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