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VCP ScannerFree US Stock Screener & Financial AnalysisFree US Stock Screener
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  2. CHARR
  3. Financial Ratios
OverviewPriceRevenueEarningsP/ERatiosDividendTargets

Charlton Aria Acquisition Corporation (CHARR) Financial Ratios

1 years of historical data (2024–2024) · Financial Services · Asset Management

View Quarterly Ratios →

P/E Ratio
3.62
—
5yr avg: N/A
050%ile100
View P/E History →
EV/EBITDA
1.94
—
5yr avg: N/A
050%ile100
P/FCF
N/A
—
5yr avg: N/A
P/B Ratio
0.01
—
5yr avg: N/A
050%ile100
ROE
0.3%
+0% vs avg
5yr avg: 0.3%
0100%ile100
30Y Low0%·High0%
Debt/EBITDA
N/A
—
5yr avg: N/A

Percentile shows where the current value sits in 30-year historical distribution. Sparklines show 5-year trend.

CHARR Valuation Multiples

Price-based multiples — how expensive the stock is relative to earnings, sales, book value, and cash flow

Charlton Aria Acquisition Corporation trades at 3.6x earnings, sitting at the 50th percentile of its historical range. Compared to the Financial Services sector median P/E of 13.2x, the stock trades at a discount of 73%.

MetricTTMFY 2024
Market Cap$964920—
Enterprise Value$517501—
P/E Ratio →3.62—
P/S Ratio——
P/B Ratio0.01—
P/FCF——
P/OCF——

P/E links to full P/E history page with 30-year chart

CHARR EV Ratios

Enterprise-value multiples — capital-structure-neutral measures of total business value

Charlton Aria Acquisition Corporation's enterprise value stands at 1.9x EBITDA. The Financial Services sector median is 11.4x, placing the stock at a 83% discount on an enterprise-value basis.

MetricTTMFY 2024
EV / Revenue——
EV / EBITDA1.94—
EV / EBIT——
EV / FCF——

CHARR Profitability

Margins and return-on-capital ratios measuring operating efficiency

ROE of 0.3% is modest, trailing the sector median of 9.4%.

Margins

Full margin charts and quarterly trend are on the Earnings History page

MetricTTMFY 2024
Gross Margin——
Operating Margin——
Net Profit Margin——

Return on Capital

MetricTTMFY 2024
ROE0.3%0.3%
ROA0.3%0.3%
ROIC——
ROCE-0.7%-0.7%

CHARR Leverage & Debt

Solvency and debt-coverage ratios — lower is generally safer

The company holds a net cash position — cash of $447419 exceeds total debt of $0, providing substantial financial flexibility for buybacks, acquisitions, or weathering downturns.

MetricTTMFY 2024
Debt / Equity——
Debt / EBITDA——
Net Debt / Equity—-0.01
Net Debt / EBITDA-1.68-1.68
Debt / FCF——
Interest Coverage——

Net cash position: cash ($447419) exceeds total debt ($0)

CHARR Liquidity & Efficiency

Short-term solvency ratios and asset-utilisation metrics

Charlton Aria Acquisition Corporation's current ratio of 9.20x is well above the 1.0 safety threshold, indicating strong short-term liquidity with ample room to cover current liabilities.

MetricTTMFY 2024
Current Ratio9.209.20
Quick Ratio9.209.20
Cash Ratio9.019.01
Asset Turnover——
Inventory Turnover——
Days Sales Outstanding——

CHARR Shareholder Yields

Earnings, FCF, buyback, and dividend yields — total returns to shareholders

Charlton Aria Acquisition Corporation does not currently pay a dividend and has no material buyback yield, reinvesting earnings back into the business. The earnings yield of 27.6% (inverse of P/E) provides a useful comparison to bond yields when assessing the stock's relative attractiveness to fixed income.

Dividends

Full dividend history and growth charts are on the Dividend History page

MetricTTMFY 2024
Dividend Yield——
Payout Ratio——

Total Shareholder Return Metrics

MetricTTMFY 2024
Earnings Yield27.6%—
FCF Yield——
Buyback Yield0.0%—
Total Shareholder Yield0.0%—
Shares Outstanding—$11M

Peer Comparison

Compare CHARR with 10 similar companies in its peer group

CompanyMarket CapP/EEV/EBITDAP/FCFGross MarginOp MarginROEROICDebt/EBITDA
CHARR logoCHARRYou$9649203.61.9———0.3%——
ACIC logoACIC$509M4.92.87.286.3%42.6%38.6%41.0%0.9
GS logoGS$291B23.134.9—41.1%14.5%12.0%1.9%29.7
MS logoMS$307B24.326.0—55.6%17.1%13.0%2.9%15.8
C logoC$219B21.125.0—41.7%10.0%6.1%1.6%27.7
JPM logoJPM$815B15.313.2—58.6%27.7%17.4%5.4%9.0
EVR logoEVR$14B24.316.411.499.4%20.5%27.8%18.8%1.4
LAZ logoLAZ$5B22.212.48.931.8%13.0%27.0%9.5%5.7
DKNG logoDKNG$13B-3150.650.019.541.3%-0.3%0.5%-0.9%7.4
SOFI logoSOFI$20B40.422.3—75.1%11.0%5.7%3.6%2.4
OPEN logoOPEN$4B-2.9—3.77.0%-6.2%-151.3%-15.8%—
Financial Services Median—13.211.410.663.6%21.6%9.4%5.7%4.1

Peer selection based on competitive and market overlap. Compare multiple stocks →

Download Financial Ratios Data

Includes 30+ ratios · 1 years · Updated daily

See CHARR's True Return

Price is only half the story. See total return with reinvested dividends.

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Is CHARR Undervalued?

DCF intrinsic value, peer multiples, and analyst estimates — see what the stock is really worth.

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Compare CHARR vs ACIC

Side-by-side business, growth, and profitability comparison vs American Coastal Insurance Corporation.

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CHARR — Frequently Asked Questions

Quick answers to the most common questions about buying CHARR stock.

What is Charlton Aria Acquisition Corporation's P/E ratio?

Charlton Aria Acquisition Corporation's current P/E ratio is 3.6x. This places it at the 50th percentile of its historical range.

What is Charlton Aria Acquisition Corporation's EV/EBITDA?

Charlton Aria Acquisition Corporation's current EV/EBITDA is 1.9x. This enterprise value multiple compares the company's total value (equity + debt - cash) to its EBITDA.

What is Charlton Aria Acquisition Corporation's ROE?

Charlton Aria Acquisition Corporation's return on equity (ROE) is 0.3%. The historical average is 0.3%.

Is CHARR stock overvalued?

Based on historical data, Charlton Aria Acquisition Corporation is trading at a P/E of 3.6x. This is at the 50th percentile of its historical P/E range. Compare with industry peers and growth rates for a complete picture.

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