StockVS

Oxley Bridge Acquisition Limited (OBAWU) 주식 분석

금융 서비스

Oxley Bridge Acquisition Limited

$10.25

+$0.05 (+0.49%)

최종 업데이트: 2026년 5월 26일

가격 추이

분석

회사 개요

Oxley Bridge Acquisition Limited, ticker OBAWU, operates as a special purpose acquisition company designed to effect a merger, amalgamation, share exchange, asset acquisition, share purchase, reorganization, or a similar business combination with one or more businesses within the consumer and technology sectors. The company is classified within the Financial Services sector and specifically falls under the industry category of Shell Companies, which indicates its current status as a blank-check entity awaiting a target transaction rather than an operating business with established cash flows. At the time of the available data, the company's market capitalization is listed as not available, its annual revenue is not disclosed, and the employee count is recorded as not available, reflecting the typical pre-combination structure of such vehicles. These financial metrics indicate that the company is in a transitional phase where traditional valuation drivers like market cap and revenue are not yet realized, and the lack of employee data suggests that the operational focus is currently on identifying a target rather than managing an existing workforce.

재무 건전성

The financial statements for Oxley Bridge Acquisition Limited report a net income of negative one hundred seventeen thousand one hundred ninety-nine dollars over the trailing twelve months, while revenue, EBITDA, and free cash flow figures are all listed as not available due to the company's current shell status. The significant gap between reported revenue and net income, where net income is negative while revenue data is absent, reveals that the company is not yet generating profitable operations from a core business model but is instead accruing transaction costs associated with its search for a target. Although the free cash flow metric is not available, the company holds a cash balance of one million ninety thousand dollars with zero outstanding debt, which provides a substantial liquidity buffer for potential transaction costs and legal fees. The gross margin, operating margin, and profit margin are all recorded at zero percent, a standard characteristic for SPACs that have not yet completed a business combination and are not yet deriving revenue from a merged entity. Comparing the total cash position to total debt, the company maintains a conservative balance sheet with zero debt and a debt-to-equity ratio that is not applicable, ensuring no leverage burden prior to a merger. The current ratio is listed as not available, but the existence of over one million dollars in cash against no debt implies a highly secure short-term liquidity position capable of sustaining operations through the acquisition process. Return on equity and return on assets are not available, which is expected for a pre-combination entity that has not yet deployed capital into an operating business to generate returns.

밸류에이션 평가

The trailing price-to-earnings ratio and forward price-to-earnings ratio are both listed as not available because the company currently does not have a standard earnings base to support these traditional valuation multiples. The price-to-book ratio stands at negative thirty point six one, which is a common valuation metric for shell companies that have negative book value due to the absence of tangible assets other than cash or accumulated deficit from formation costs. The price-to-sales ratio and enterprise value-to-EBITDA are also not available, as these alternative valuation metrics require positive revenue and earnings data that the company does not currently possess. The stock's price range over the past year has fluctuated between a fifty-two-week high of ten point five nine dollars and a fifty-two-week low of ten dollars. The current trading price sits within this narrow range, indicating that the market is pricing the shell entity based on its potential to find a target rather than its current financial performance, with the price hovering near the lower end of the recent historical range. The beta value is not available, which means that the stock's volatility relative to the broader market cannot be quantified using standard historical data, a typical feature for small-cap acquisition companies with low liquidity.

Growth & Income

The revenue growth year-over-year and earnings growth year-over-year rates are both listed as not available, as the company has not yet achieved a revenue-generating status from a merged business to allow for meaningful growth comparisons. Since the company does not pay dividends, the dividend yield and payout ratio are not applicable, meaning the company retains all available cash and equity to fund its search for a business combination rather than distributing income to shareholders. This reinvestment strategy is standard for SPACs, where earnings are theoretically directed toward the transaction costs and the eventual integration of a target company rather than immediate shareholder payouts. The overall growth and income profile is currently characterized by a lack of historical financial data, reflecting the transitional nature of the entity awaiting its initial business combination transaction.

동종업체 비교

Oxley Bridge Acquisition Limited (OBAWU) 은(는) 페이퍼 컴퍼니 산업에서 운영됩니다. 시가총액 기준으로 가장 가까운 동종업체와의 비교는 다음과 같습니다:

기업명 티커 시가총액 PER
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

페이퍼 컴퍼니 산업 평균 PER은 82.8배입니다. Oxley Bridge Acquisition Limited의 PER은 N/A입니다.

이 분석은 AI가 생성한 것으로 정보 제공 목적으로만 사용되며 투자 조언이 아닙니다. 데이터가 지연되거나 부정확할 수 있습니다. 투자 결정을 내리기 전에 항상 직접 조사하고 자격을 갖춘 재무 상담사와 상담하세요.

Oxley Bridge Acquisition Limited 소개

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.

회사 설명은 영어로 표시됩니다.

웹사이트 방문 →

주요 지표

시가총액
N/A
PER
N/A
52주 최고가
$11.24
52주 최저가
$10.00
평균 거래량
2.67K

데이터는 yfinance를 통해 Yahoo Finance에서 제공됩니다. 매일 업데이트.

기업 정보

거래소
NASDAQ
국가
Canada