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Oxley Bridge Acquisition Limited (OBAWU) Stock Analysis

Financial Services

Oxley Bridge Acquisition Limited

$10.25

+$0.05 (+0.49%)

Last Updated: May 26, 2026

Price History

Analysis

Company Overview

Oxley Bridge Acquisition Limited operates as a business combination vehicle focused on effecting a merger, amalgamation, share exchange, asset acquisition, share purchase, reorganization, or similar business combination with one or more businesses in the consumer and technology sectors. The company is classified within the Financial Services sector, specifically under the industry of Shell Companies, which indicates its current structure is designed to facilitate a future transaction rather than generating standalone operational revenue. As of the latest available data, the company has a market cap listed as N/A, generates N/A in annual revenue, and employs N/A individuals. These specific valuation and scale metrics, while currently unavailable in the public dataset, suggest that the entity exists primarily as a strategic shell pending a definitive business combination, meaning its current financial footprint is defined by its cash reserves rather than operational scale or employee headcount.

Financial Health

The company reports a Net Income of $-117,199 over the trailing twelve months, while Revenue and EBITDA are both listed as N/A. The gap between reported revenue figures and net income, combined with the absence of EBITDA data, reveals a cost structure dominated by pre-merger administrative expenses or financing costs rather than cost of goods sold or operating leverage. Free Cash Flow is not reported, indicating that the company currently lacks the operational cash generation typical of mature businesses and relies entirely on existing liquidity for liquidity management. Gross Margin, Operating Margin, and Profit Margin are all recorded at 0.0%, which indicates that the company has not yet derived revenue from its primary business operations or that its revenue is insufficient to cover variable costs, resulting in a lack of profitability margins. The company holds $1.09M in cash against N/A in debt, resulting in a Debt to Equity ratio of N/A. This balance sheet composition suggests a conservative stance where the firm is utilizing its cash reserves to fund the upcoming acquisition rather than leveraging itself with significant debt. The Current Ratio is listed as N/A, preventing a direct assessment of short-term liquidity relative to current liabilities, though the available cash provides a buffer for immediate obligations. Return on Equity and Return on Assets are both N/A, meaning these return metrics cannot currently be calculated to assess management effectiveness due to the lack of positive earnings or defined equity base prior to the acquisition.

Valuation Assessment

The P/E Ratio (TTM) and Forward P/E are both listed as N/A, which implies that traditional earnings-based valuation models cannot be applied to assess the company's trajectory or expected earnings growth until a target business is acquired. The Price to Book ratio stands at -30.61, a figure that mathematically indicates the market capitalization is significantly below the book value of assets or reflects a scenario where the stock price is negative relative to net assets, a common characteristic for shell companies awaiting combination. The Price to Sales ratio and EV/EBITDA are both N/A, suggesting that alternative valuation metrics relying on revenue multiples or enterprise value leverage are not applicable at this stage of the company's lifecycle. The stock has a 52-Week High of $10.59 and a 52-Week Low of $10.00. Without a specific current share price provided in the dataset, the exact percentage deviation from this range cannot be calculated, but the trading band between $10.00 and $10.59 reflects the volatility typical of pre-completion special purpose acquisition companies. The Beta is listed as N/A, meaning that the stock's price volatility relative to the broader market cannot be quantified with standard statistical measures due to the limited trading history or high correlation to merger arbitrage spreads rather than general market movements.

Growth & Income

Revenue Growth (YoY) and Earnings Growth (YoY) are both listed as N/A, indicating that historical growth rates are not applicable as the company has not yet generated sustained revenue streams prior to its formation in 2024. Since the company is a shell entity focused on a future merger, it does not pay dividends; therefore, the Dividend Yield and Payout Ratio are N/A, and the firm reinvests its earnings, currently derived from cash reserves, into the pursuit of a target business rather than distributing returns to shareholders. The overall growth and income profile is currently characterized by a lack of historical financial data, with the company's value proposition resting entirely on the potential of a future business combination in the consumer and technology sectors rather than organic growth or dividend income.

Peer Comparison

Oxley Bridge Acquisition Limited (OBAWU) 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
Oxley Bridge Acquisition Limited OBAWU N/A 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. Oxley Bridge Acquisition Limited 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 Oxley Bridge Acquisition Limited

Oxley Bridge Acquisition Limited does not have significant operations. It intends to effect a merger, amalgamation, share exchange, asset acquisition, share purchase, reorganization, or similar business combination with one or more businesses in the consumer and technology sectors. The company was incorporated in 2024 and is based in Vancouver, Canada.

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Key Statistics

Market Cap
N/A
P/E Ratio
N/A
52-Week High
$11.24
52-Week Low
$10.00
Avg Volume
2.67K

Data provided by Yahoo Finance via yfinance. Updated daily.

Company Info

Exchange
NASDAQ
Country
Canada