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      "text": "©2023 Nuvve Holding Corp. All rights reserved. Confidential and proprietary.",
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      "text": "Years Ended December 31. 2022 2021 Operating activities Net loss (24,557,506) (74,617,312) Adjustments to reconcile to net loss to net cash used in operating activities Depreciation and amortization 289,536 167,558 Share-based compensation 5,234,878 4,219,989 Financing costs 46,771,276 Beneficial conversion feature on convertible debenture 427,796 Accretion of discount on convertible debenture 116,147 Change in fair value of warrants liability (11,986,462) 312,400 Change in fair value of derivative liability (152,723) Loss on disposal of asset 1,326 Gain on extinguishment of PPP Loan (492,100) Noncash lease expense 421,183 3,636 Change in operating assets and liabilities Accounts receivable 763,302 (887,697) Inventory (433,644) (10,065,710) Prepaid expenses and other assets (2,072,001) (693,756) Accounts payable (3,346,937) 2,780,890 Accrued expenses 1,340,918 2,138,574 Deferred revenue 417,481 626,265 Net cash used in operating activities (34,081,975) (29,190,718) Investing activities Proceeds from sale of property and equipment 7,649 Purchase of property and equipment (438,045) (273,124) Investments in equity securities (1,000,000) Net cash used in investing activities (1,438,045) (265,475) Financing activities Proceeds from Newborn Escrow Account 58,184,461 Redemption of Newborn shares (18,629) Issuance costs related to reverse recapitalization and PIPE offering (3,970,657) Proceeds from PIPE offering 14,250,000 Repayment of Newborn sponsor loans (487,500) Repurchase of common stock from EDF (6,000,000) Newborn cash acquired 50,206 Purchase of stock from investor (2,000,000) Payment of financing costs (1,000,000) Payment of finance lease obligations (9,691) (5,839) Proceeds from forward option put exercise 1,994,073 Proceeds from exercise of pre-funded warrants related to Direct Offering 185 Proceeds from Direct Offering of common stock, net of offering costs 13,069,815 Proceeds from common stock offering, net of offering costs 3,763,494 Proceeds from exercise of stock options 245,748 576,528 Issuance Costs Related to Preferred Stock (2,956,248) Issuance of Redeemable Preferred Stock 3,138,000 Payment of Preferred Stock dividends (39,096) Net cash provided by financing activities 19,063,624 59,721,226 Effect of exchange rate on cash (50,228) 199,592 Net increase in cash and restricted cash (16,506,624) 30,464,625 Cash and restricted cash at beginning of year 32,740,520 2,275,895 Cash and restricted cash at end of year 16,233,896 32,740,520",
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