Profile
AAC-UN CCIV PSACU RTPY LVRAW CMLFU
Company Name Ares Acquisition Corporation Lucid Group, Inc. Property Solutions Acquisition Corp. Reinvent Technology Partners Y Levere Holdings Corp. CM Life Sciences, Inc.
Sector Financial Services Financial Services Financial Services Financial Services Financial Services Financial Services
Industry Shell Companies Shell Companies Shell Companies Shell Companies Shell Companies Shell Companies
Market Cap $608.55M $44.39B $12.00B $11.62B $11.53B $10.31B
Employees 0.00K 0.00K 0.00K 0.00K 0.00K 0.00K
CEO Mr. David B. Kaplan Mr. Michael S. Klein Jordan D. Vogel - Mr. Martín Varsavsky Mr. Eli Decatur Casdin
Ratings
AAC-UN CCIV PSACU RTPY LVRAW CMLFU
Quant Rating Score 3 4
Quant Rating Neutral Buy
Trading
AAC-UN CCIV PSACU RTPY LVRAW CMLFU
Last Close $10.81 $24.25 $17.08 $9.91 $0.04 $13
High 52 $10.81 $24.25 $17.08 $9.91 $0.04 $13
Low 52 $10.81 $24.25 $17.08 $9.91 - $13
Price vs. 52 Week High 0 % 0 % 0 % 0 % 0 % 0 %
Price vs. 52 Week Low 0 % 0 % 0 % 0 % 0 % 0 %
Dividends
AAC-UN CCIV PSACU RTPY LVRAW CMLFU
Dividend Yield Percentage (TTM) - - - - - -
Dividend Paid and Capex Coverage Ration (TTM) - -2.28 % - -19 % - -
Dividend Per Share (TTM) - - - - - -
Payout Ratio (TTM) - - - - - -
Growth
AAC-UN CCIV PSACU RTPY LVRAW CMLFU
Asset Growth -99.95 % - - -
Gross Profit Growth - - - -
Revenue Growth - - - -
Revenue 3 Year - - - -
Revenue 5 Year - - - -
Revenue 10 Year - - - -
EBIT Growth - - - -
Net Income Growth -99.97 % - - -
Net Income 3 Yeari Growth Per Share 75968.24 % - - -
Net Income 5 Yeari Growth Per Share 75968.24 % - - -
Net Income 10 Yeari Growth Per Share 75968.24 % - - -
Operating Income Growth 99.98 % - - -
Operating Cash Flow Growth (CFG) 99.94 % - - -
Operating 3 Year CFG - - - -
Operating 5 Year CFG - - - -
Operating 10 Year CFG - - - -
EPS Growth -99.98 % - - -
EPS Diluted Growth -99.98 % - - -
Book Value Per Share -100 % - - -
Share Holder 3 Year Equity Growth Per Share -223.07 % - - -
Share Holder 5 Year Equity Growth Per Share -223.07 % - - -
Share Holder 10 Year Equity Growth Per Share -223.07 % - - -
Dividend Per Share Growth - - - -
Dividend 3 Year Growth Per Share - - - -
Dividend 5 Year Growth Per Share - - - -
Dividend 10 Year Growth Per Share - - - -
Debt Growth -99.67 % - - -
Free Cash Flow Growth 99.94 % - - -
Updated On 31 Dec 2023 31 Dec 2020 31 Dec 2024 31 Dec 2020
Profitability
AAC-UN CCIV PSACU RTPY LVRAW CMLFU
Gross Profit Margin TTM - -105.68 % - - -
Return on Assets TTM 2712.51 % -26.03 % -0.91 % -64.82 % -0.04 %
Return on Equity TTM -70420.96 % -69.01 % -42.19 % -72.61 % -0.04 %
Return on Capital Employed TTM 1509.5 % -37.82 % -0.96 % -51.19 % -0.05 %
Net Income Per EBT TTM 180.33 % 99.99 % 100 % 140.95 % 100 %
EBT Per Ebit TTM 99.73 % 80.45 % 95.1 % 95.6 % 93.23 %
EBIT Per Revenue TTM - -342.8 % - - -
Cash Flow To Debt Ratio TTM -10.52 % -75.5 % - -247.83 % -
Receivables Turnover TTM - 9.63 - - -
Payables Turnover TTM - 14.75 - - -
Inventory Turnover TTM - 3.8 - - -
Fixed Asset Turnover TTM - 24.49 % - - -
Asset Turnover TTM - 9.44 % - - -
Operating Cash Flow Per Share TTM - -0.64 - -0.16 -
Free Cash Flow Per Share TTM - -0.92 - -0.17 -
Cash Per Share TTM 0 % 118.92 % 780.7 % 66.46 % 802 %
Operating Cash Flow Sales Ratio TTM - -221.98 % - - -
Free Cash Flow Operating Cash Flow Ratio TTM 100 % 143.85 % - 105.26 % -
Cash Flow Coverage Ratios TTM -10.52 % -75.5 % - -247.83 % -
Price To Free Cash Flows Ratio TTM -1447914.97 -2.38 - -38.73 -
Price To Operating Cash Flows Ratio TTM -3950200.42 -3.41 - -60.64 -
Price Cash Flow Ratio TTM -3950200.42 -3.41 - -60.64 -
Income Statement (TTM)
AAC-UN CCIV PSACU RTPY LVRAW CMLFU
Revenue $0B $0.81B $0B $0B $0.31B
Gross Profit $0B $-0.92B $0B $0B $0.19B
Gross Profit Ratio 0% -114.27% 0% 0% 63.64%
EBITDA $0B $-2.38B $-0B $-0.79B $-0.02B
Net Income $0B $-2.71B $-0B $-0.75B $-0.05B
EPS Diluted 0.42 -1.25 -0.07 -0.46 -1.94
Balance Sheet (MRQ)
AAC-UN CCIV PSACU RTPY LVRAW CMLFU
Long Term Debt $0B $2.31B $0B $0.11B $0B
Total Liabilities $0B $5.78B $0.23B $0.26B $0.02B
Total Equity $-0B $3.87B $0.01B $1.88B $0.43B
Total Investments $0B $3.47B $0.23B $1.01B $0.44B
Total Debt $0B $2.48B $0B $0.12B $0B
Total Assets $0B $9.65B $0.23B $2.14B $0.44B
Cash Flow Statement (TTM)
AAC-UN CCIV PSACU RTPY LVRAW CMLFU
Net Income $0B $-2.71B $-0.75B
Inventory $0B $-0.33B $0B
Dividends Paid $0B $0B $0B
Operating Cash Flow $-0B $-2.02B $-0.61B
Capital Expenditure $0B $-0.88B $-0.03B
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