StockVS

M Evo Global Acquisition Corp II (MEVO) Stock Analysis

Financial Services

M Evo Global Acquisition Corp II

$9.92

+$0.00 (+0.00%)

Last Updated: May 26, 2026

Price History

Analysis

Company Overview

M Evo Global Acquisition Corp II operates within the financial services sector as a shell company dedicated to effecting business combinations such as mergers, amalgamations, share exchanges, asset acquisitions, share purchases, or reorganizations with one or more businesses. This specific industry classification indicates that the entity currently exists primarily as a vehicle to facilitate a future merger rather than operating a standalone commercial enterprise with traditional revenue-generating operations. The company holds a market capitalization of $475.12M, which reflects the aggregate market value of its outstanding shares, while its annual revenue is not applicable due to its pre-business-combination status. Additionally, the company reports N/A regarding its employee count, a common characteristic for shell companies that have not yet integrated a target organization's workforce. These valuation and operational metrics collectively indicate that M Evo Global Acquisition Corp II is positioned as a specialized entity waiting for a strategic transaction to occur, rather than a mature operating business with established scale or a large permanent workforce.

Financial Health

The company reports N/A for revenue, N/A for EBITDA, and a net income of $-119,861 for the trailing twelve months, revealing a financial structure typical of a special purpose acquisition company before a merger. The absence of revenue combined with a negative net income of $-119,861 highlights that the company's cost structure currently consists primarily of organizational and maintenance expenses rather than the cost of goods sold or operating costs associated with active sales. Free cash flow is listed as N/A, indicating that the company does not yet generate positive cash flows from operations and relies on external capital sources for liquidity. All three margin metrics—gross margin, operating margin, and profit margin—are recorded at 0.0%, which signifies that the company has not yet achieved profitability or incurred significant operating expenses relative to revenue in a manner that yields a positive percentage. The balance sheet shows cash at N/A and total debt at $10, resulting in a debt-to-equity ratio of 0.06, suggesting a conservative capital structure with minimal leverage relative to equity. Furthermore, the current ratio stands at 0.11, which indicates that the company's current assets are insufficient to cover its current liabilities, a condition often seen in SPACs prior to a transaction that utilizes trust funds or other financing mechanisms. Return on equity and return on assets are both listed as N/A, meaning these return metrics cannot be calculated at this time due to the lack of positive net income or available equity data.

Valuation Assessment

The trailing P/E ratio and forward P/E ratio are both listed as N/A, which implies that no earnings per share data exists to support a standard price-to-earnings valuation model for this company at this time. The price-to-book ratio is reported at -3276.67, a negative figure that indicates the market capitalization does not align with the company's book value in a traditional sense, often due to the accounting treatment of shell companies and trust structures. The price-to-sales ratio is N/A, and the EV/EBITDA metric is also N/A, suggesting that traditional alternative valuation multiples are not applicable until the company completes a business combination and begins generating measurable sales and earnings. Regarding price volatility, the stock has a 52-week high of $9.95 and a 52-week low of $9.83. If the current trading price is assumed to be near the midpoint of this narrow range, the stock is trading approximately 0% below the 52-week high and 0% above the 52-week low, reflecting a highly stable but limited price range typical of non-active trading periods for shell entities. The beta value is listed as N/A, meaning that the stock's sensitivity to broader market movements cannot be quantified with historical volatility data at this stage of the company's lifecycle.

Growth & Income

Revenue growth year-over-year and earnings growth year-over-year are both listed as N/A, indicating that the company is not yet generating recurring revenue streams or earnings growth that can be tracked over time. Since the company does not pay a dividend, the dividend yield is N/A and the payout ratio is N/A, which means the company reinvests any available resources or capital into its search for a target business rather than distributing income to shareholders. The overall growth and income profile for M Evo Global Acquisition Corp II is currently defined by its potential for future expansion upon the completion of a merger, rather than historical growth rates or current dividend yields. This lack of historical growth data and dividend income is consistent with the operational model of a shell company focused on effecting a business combination in the future.

Peer Comparison

M Evo Global Acquisition Corp II (MEVO) operates in the Shell Companies industry. Here is how it compares to its closest peers by market capitalization:

Company Ticker Market Cap P/E Ratio
M Evo Global Acquisition Corp II MEVO $479.47M N/A
Twenty One Capital, Inc. XXI $2.49B N/A
Churchill Capital Corp X CCCX $711.00M N/A
Drugs Made In America Acquisition II Corp. DMII $641.46M 77.5

The Shell Companies industry average P/E ratio is 82.8x. M Evo Global Acquisition Corp II trades at a P/E of N/A.

This analysis is AI-generated for informational purposes only and should not be considered financial advice. Data may be delayed or inaccurate. Always do your own research and consult a qualified financial advisor before making investment decisions.

About M Evo Global Acquisition Corp II

M Evo Global Acquisition Corp II focuses on effecting a merger, amalgamation, share exchange, asset acquisition, share purchase, reorganization or similar business combination with one or more businesses. The company was incorporated in 2025 and is headquartered in Farmers Branch, Texas.

Key Statistics

Market Cap
$479.47M
P/E Ratio
N/A
52-Week High
$9.95
52-Week Low
$9.83
Avg Volume
27.38K

Data provided by Yahoo Finance via yfinance. Updated daily.

Company Info

Exchange
NASDAQ
Country
United States