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RF Acquisition Corp III (RFAM) 株式分析

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RF Acquisition Corp III

$9.86

+$0.00 (+0.00%)

最終更新日: 2026年5月26日

株価推移

分析

企業概要

RF Acquisition Corp III is a specialized entity incorporated in 2025 and headquartered in Singapore, dedicated to executing business combinations through mergers, share exchanges, asset acquisitions, share purchases, or reorganizations with one or more target businesses. The company operates within the Financial Services sector and specifically functions under the industry classification of Shell Companies, a designation that reflects its current status as a vehicle awaiting a strategic merger rather than an operational business with independent revenue streams. As of the latest data, the company maintains a market capitalization of $141.16M, while no specific annual revenue or employee count figures are publicly disclosed in the current financial dataset. This market cap indicates that the entity holds a modest valuation typical for special purpose acquisition companies (SPACs) prior to their definitive business combination, signaling a stage of preparation and fundraising rather than established operational scale. The absence of disclosed employee data further underscores the transitional nature of the firm, where resources are currently allocated toward structuring potential deals rather than sustaining day-to-day operational overheads.

財務健全性

The financial statements for RF Acquisition Corp III reveal a Net Income (TTM) of $-192,936, which contrasts with the lack of disclosed Revenue (TTM) and EBITDA figures. This significant negative net income in the absence of reported revenue highlights a cost structure dominated by transaction expenses, administrative overheads, and potentially interest costs associated with the company's debt obligations rather than core operational profitability. Free Cash Flow metrics are not currently available for this entity, which implies that the company's financial flexibility is currently dependent on retained cash reserves or external capital raises rather than cash generation from operations. An analysis of the three primary margin metrics—Gross Margin, Operating Margin, and Profit Margin—all stand at 0.0%, a standard characteristic for shell companies that have not yet engaged in revenue-generating activities. The company reports a total debt obligation of $98,688 against a Cash balance that is not specified in the available data, resulting in a Debt to Equity ratio of 21.50. This high leverage ratio suggests a capital structure heavily weighted toward debt relative to equity, a common feature in SPACs that utilizes leverage to finance future acquisitions, though it requires careful monitoring upon exit. The Current Ratio is recorded at 0.29, indicating that the company's current assets are insufficient to cover its current liabilities without external financing, which points to a reliance on future capital events to maintain short-term liquidity. Furthermore, Return on Equity and Return on Assets are both listed as N/A, reflecting the fact that traditional return metrics are not applicable to a shell company that has not yet generated assets or equity value through a business combination.

バリュエーション評価

Valuation multiples for RF Acquisition Corp III include a Trailing Twelve Months P/E Ratio and a Forward P/E Ratio, both of which are listed as N/A due to the absence of positive earnings and the speculative nature of the asset class. The Price to Book ratio is reported at 222.27, a figure that indicates a substantial market premium over the company's book value, driven by the potential value of the target business to be acquired rather than the current assets of the shell entity itself. Alternative valuation metrics such as the Price to Sales ratio and EV/EBITDA are also unavailable or not applicable given the lack of revenue and EBITDA data, meaning investors must rely primarily on the price-to-book metric and market cap for valuation context. The stock price has fluctuated within a narrow band, with a 52-Week High of $9.98 and a 52-Week Low of $9.78. Without a specific current price provided in the source facts to calculate a precise percentage deviation, the stock is trading within a very tight range, suggesting low price volatility in the immediate term relative to the broader market. The Beta value is not available in the provided dataset, preventing a direct comparison of the stock's volatility against the broader market index, but the narrow trading range between the high and low implies limited price movement over the past year.

Growth & Income

Growth metrics for RF Acquisition Corp III show that Revenue Growth (YoY) and Earnings Growth (YoY) are both listed as N/A, as the company has not yet generated historical revenue data to calculate year-over-year percentage changes. In the absence of positive earnings growth, the company is not currently a dividend payer, as evidenced by the missing Dividend Yield and Payout Ratio figures. Consequently, the company does not distribute cash to shareholders but instead retains any available capital to fund the costs of identifying and executing a business combination, effectively reinvesting earnings into growth opportunities through the merger process. The overall growth and income profile is characterized by a lack of traditional financial growth indicators and income generation, with the primary value proposition resting entirely on the successful completion of a future merger that will transform the company from a shell entity into an operating business.

同業他社比較

RF Acquisition Corp III (RFAM) はペーパーカンパニー業界で事業を展開しています。時価総額による最も近い同業他社との比較は以下の通りです:

企業名 ティッカー 時価総額 PER
RF Acquisition Corp III RFAM $137.38M 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

ペーパーカンパニー業界の平均PERは82.8倍です。RF Acquisition Corp IIIのPERはN/Aです。

この分析はAIによって生成されたものであり、情報提供のみを目的としています。投資アドバイスではありません。データは遅延または不正確な場合があります。投資判断を行う前に、必ずご自身で調査を行い、資格を持つファイナンシャルアドバイザーにご相談ください。

RF Acquisition Corp IIIについて

RF Acquisition Corp III focuses on effecting a merger, share exchange, asset acquisition, share purchase, reorganization, or similar business combination with one or more businesses. The company was incorporated in 2025 and is based in Singapore.

企業説明は英語で表示されています。

主要指標

時価総額
$137.38M
PER
N/A
52週高値
$9.98
52週安値
$9.77
平均出来高
13.04K

データはYahoo Financeよりyfinance経由で提供。毎日更新。

企業情報

取引所
NASDAQ
Singapore