$10.130
+0.091 (+0.90%)Zum Schluss
- High
- 10.130
- Open
- 10.130
- VWAP
- 10.13
- Vol
- 528.00
- Mkt Cap
- —
- Low
- 10.130
- Amount
- 5.35K
- EV/EBITDA, TTM
- 0.00
Twelve Seas Investment Company III is a blank check company. The Company is formed for the purpose of effecting a merger, amalgamation, share exchange, asset acquisition, share purchase, reorganization or similar business combination with one or more businesses. The Company intends to focus businesses on oil and gas and others. The Company also intends to focus on wealth funds, family offices, international entrepreneurs or global industrial conglomerates.
AI analysis of Twelve Seas Investment Company III (TWLV)
holdTwelve Seas Investment Co II (TWLV) is currently priced at 10.13, which is above its 200-day simple moving average of 9.954, indicating a potential upward trend. However, the RSI is at 71.97, suggesting that the stock may be overbought. The forward P/E ratio is 0, which indicates uncertainty in future earnings, while the current ratio is strong at 3.04, showing good short-term financial health. The main risk is the negative earnings per share (EPS) of 0.00 in the latest quarter, which raises concerns about profitability moving forward.
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TWLV FAQ — answered by Alphio AI
Twelve Seas Investment Company III is a blank check company. The Company is formed for the purpose of effecting a merger, amalgamation, share exchange, asset acquisition, share purchase, reorganization or similar business combination with one or more businesses. The Company intends to focus businesses on oil and gas and others. The Company also intends to focus on wealth funds, family offices, international entrepreneurs or global industrial conglomerates. It operates in the Financials sector.
Twelve Seas Investment Co II (TWLV) is currently priced at 10.13, which is above its 200-day simple moving average of 9.954, indicating a potential upward trend. However, the RSI is at 71.97, suggesting that the stock may be overbought. The forward P/E ratio is 0, which indicates uncertainty in future earnings, while the current ratio is strong at 3.04, showing good short-term financial health. The main risk is the negative earnings per share (EPS) of 0.00 in the latest quarter, which raises concerns about profitability moving forward.
Diese Seite dient nur der Recherche und ist keine Anlageberatung. Modelle können falsch liegen. Vergangene Wertentwicklung ist kein Indikator für die Zukunft.