Thunder Bridge Capital Partners IV Statistics Share Statistics Thunder Bridge Capital Partners IV has 9.35M
shares outstanding. The number of shares has increased by null%
in one year.
Shares Outstanding 9.35M Shares Change (YoY) n/a Shares Change (QoQ) n/a Owned by Institutions (%) 0.16% Shares Floating n/a Failed to Deliver (FTD) Shares 97 FTD / Avg. Volume 15.2%
Short Selling Information The latest short interest is 44, so 0% of the outstanding
shares have been sold short.
Short Interest 44 Short % of Shares Out n/a Short % of Float n/a Short Ratio (days to cover) 999.99
Valuation Ratios The PE ratio is 25.15 and the forward
PE ratio is null.
Thunder Bridge Capital Partners IV's PEG ratio is
0.1.
PE Ratio 25.15 Forward PE n/a PS Ratio 0 Forward PS n/a PB Ratio 4.55 P/FCF Ratio -47.7 PEG Ratio 0.1
Financial Ratio History Enterprise Valuation Thunder Bridge Capital Partners IV has an Enterprise Value (EV) of 103.77M.
EV / Sales 0 EV / EBITDA 19.56 EV / EBIT -48.05 EV / FCF -48.05
Financial Position Current Ratio 0 Quick Ratio 0 Debt / Equity 0.03 Debt / EBITDA 0.15 Debt / FCF -0.36 Interest Coverage 0
Financial Efficiency Return on Equity is 18.08% and Return on Invested Capital is -3.34%.
Return on Equity 18.08% Return on Assets 10.98% Return on Invested Capital -3.34% Revenue Per Employee n/a Profits Per Employee $2.05M Employee Count 2 Asset Turnover 0 Inventory Turnover n/a
Taxes Income Tax 1.21M Effective Tax Rate 22.81%
Stock Price Statistics The stock price has increased by 18.29% in the
last 52 weeks. The beta is 0, so Thunder Bridge Capital Partners IV's
price volatility has been lower than the market average.
Beta 0 52-Week Price Change 18.29% 50-Day Moving Average 10.95 200-Day Moving Average 10.51 Relative Strength Index (RSI) 56.37 Average Volume (20 Days) 638
Income Statement
Revenue n/a Gross Profit n/a Operating Income -1.39M Net Income 4.1M EBITDA 5.31M EBIT 5.31M Earnings Per Share (EPS) 0.41
Full Income Statement Balance Sheet The company has 13K in cash and 781K in
debt, giving a net cash position of -768K.
Cash & Cash Equivalents 13K Total Debt 781K Net Cash -768K Retained Earnings -14.38M Total Assets 31.5M Working Capital -6.51M
Full Balance Sheet Cash Flow In the last 12 months, operating cash flow was -2.16M
and capital expenditures 0, giving a free cash flow of -2.16M.
Operating Cash Flow -2.16M Capital Expenditures n/a Free Cash Flow -2.16M FCF Per Share -0.21
Full Cash Flow Statement Margins
Gross Margin n/a Operating Margin n/a Pretax Margin n/a Profit Margin n/a EBITDA Margin n/a EBIT Margin n/a FCF Margin n/a