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AXINAxiom Intelligence Acquisition Corp 1
$10.37$352M
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  4. Financial Ratios

Axiom Intelligence Acquisition Corp 1 (AXIN) Financial Ratios

Latest Ratios: P/E Ratio 51.9x · EV/EBITDA N/A · ROE N/A. (2013–2025 historical series)

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly

AXIN Valuation Multiples

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

MetricTTMFY 2025FY 2024FY 2021FY 2020FY 2019FY 2018FY 2016FY 2015FY 2014FY 2013
Market Cap$352M$117M—————————
Enterprise Value$353M$118M—————————
P/E Ratio →51.8550.30—————————
P/S Ratio236.2678.23—————————
P/B Ratio———————————
P/FCF———————————
P/OCF———————————

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

AXIN EV Ratios

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

MetricTTMFY 2025FY 2024FY 2021FY 2020FY 2019FY 2018FY 2016FY 2015FY 2014FY 2013
EV / Revenue—79.27—————————
EV / EBITDA———————————
EV / EBIT———————————
EV / FCF———————————

AXIN Profitability

Margins and return-on-capital ratios measuring operating efficiency

Margins

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

MetricTTMFY 2025FY 2024FY 2021FY 2020FY 2019FY 2018FY 2016FY 2015FY 2014FY 2013
Gross Margin41.7%41.7%53.8%82.5%90.8%88.6%61.6%————
Operating Margin-169.2%-169.2%-67.7%0.2%32.4%22.2%-323.6%————
Net Profit Margin155.5%155.5%-72.4%-8.7%41.5%55.4%-325.8%————

Return on Capital

MetricTTMFY 2025FY 2024FY 2021FY 2020FY 2019FY 2018FY 2016FY 2015FY 2014FY 2013
ROE———-4123.7%40.1%202.1%—————
ROA60.9%60.9%-125.3%-2719.5%33.5%46.3%-127.2%-3615.7%-1369.4%-1386.0%-44052.4%
ROIC———70.6%22.5%54.6%—————
ROCE———101.0%30.9%78.2%—————

AXIN Leverage & Debt

Solvency and debt-coverage ratios — lower is generally safer

MetricTTMFY 2025FY 2024FY 2021FY 2020FY 2019FY 2018FY 2016FY 2015FY 2014FY 2013
Debt / Equity———0.330.010.04—————
Debt / EBITDA———0.020.000.26—————
Net Debt / Equity—————0.04—————
Net Debt / EBITDA———-0.06-0.010.24—————
Debt / FCF————-0.00——————
Interest Coverage——-35.13————————

AXIN Liquidity & Efficiency

Short-term solvency ratios and asset-utilisation metrics

MetricTTMFY 2025FY 2024FY 2021FY 2020FY 2019FY 2018FY 2016FY 2015FY 2014FY 2013
Current Ratio0.120.120.192.076.766.190.120.740.010.360.01
Quick Ratio0.120.120.192.076.766.190.120.740.010.360.01
Cash Ratio0.000.000.011.926.550.010.000.740.010.360.01
Asset Turnover—0.470.87262.97306.650.560.20————
Inventory Turnover———————————
Days Sales Outstanding———————————

AXIN Shareholder Yields

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

Dividends

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

MetricTTMFY 2025FY 2024FY 2021FY 2020FY 2019FY 2018FY 2016FY 2015FY 2014FY 2013
Dividend Yield———————————
Payout Ratio———————————

Total Shareholder Return Metrics

MetricTTMFY 2025FY 2024FY 2021FY 2020FY 2019FY 2018FY 2016FY 2015FY 2014FY 2013
Earnings Yield1.9%2.0%—————————
FCF Yield———————————
Buyback Yield0.0%0.0%—————————
Total Shareholder Yield0.0%0.0%—————————
Shares Outstanding—$12M$25M$326M$326M$298M$318M$45M$45M$45M$45M

Key Metrics

Growth RegimeContracting
ProfitabilityNegative
Balance SheetVulnerable
Cash FlowBurning
Top Statement Risk

Imminent liquidity and solvency

Verified Source

Metrics are mathematically derived from official filings.

SEC 10-K (2026Q1)

Distorted Multiples Mask Operational Stagnation

According to recent market data, AXIN trades at a P/S ratio of 235.57, a figure that appears highly anomalous for a shell company and likely reflects the extreme volatility in its underlying revenue rather than any genuine growth premium or sustainable competitive advantage in the infrastructure sector.

The elevated P/S multiple suggests that investors may be mispricing the entity by applying traditional growth-company frameworks to a vehicle that lacks core operational assets. Given the 61.05% year-over-year revenue decline, this valuation appears disconnected from the company's actual ability to generate future cash flows or secure a viable business combination.

Negative Margins Reflect Structural Burn

As reported in financial statements, AXIN's operating margin of -169.23% highlights a deeply negative earning power that is typical of a pre-merger shell company struggling to cover its administrative and regulatory overhead while failing to generate consistent, high-margin revenue from its specialized infrastructure sourcing activities.

The gross margin of 41.73% indicates that the company is capturing some value from its consulting-like activities, yet this is insufficient to offset the fixed costs of maintaining a public listing. Investors should interpret these margins as a reflection of a 'burn' phase rather than a sustainable business model, as the company lacks the scale to achieve profitability.

Working Capital Volatility Signals Inefficiency

Based on historical filings, AXIN's asset turnover has fluctuated wildly, dropping from 150.07 in 2021 to near-zero levels in recent quarters, which suggests a complete lack of operational efficiency and a reliance on non-recurring, project-based inflows that do not support a stable working capital cycle.

The erratic nature of these efficiency metrics confirms that the company is not operating as a traditional business but rather as a vehicle subject to the timing of irregular deal-structuring fees. The absence of a predictable cash conversion cycle warrants caution, as it indicates that management has yet to establish a repeatable process for asset acquisition.

Precarious Liquidity Threatens Operational Continuity

As indicated by the most recent quarterly data, AXIN's current ratio has collapsed to 0.12, leaving the company with a critical cash balance of only $20,751, which suggests that the entity is highly vulnerable to even minor operational shocks or unexpected regulatory compliance costs in the near term.

This liquidity position appears insufficient to sustain the company's ongoing search for infrastructure targets, implying that an immediate capital injection or sponsor support is likely required. The lack of a buffer suggests that the company's ability to remain a going concern is increasingly dependent on external financing rather than internal cash generation.

Misapplied P/E Ratio Obscures Reality

The P/E ratio of 51.70 is the most commonly misapplied metric for AXIN, as it erroneously implies that the company is a profitable operating entity when, in reality, the net income is heavily distorted by non-cash warrant liability revaluations and other non-operating accounting adjustments.

Analysts should instead focus on the cash burn rate and the remaining trust account balance to assess the company's true viability. Relying on P/E for a shell company obscures the underlying financial distress and fails to account for the high probability of dilution or liquidation that characterizes this specific business model.

Download Financial Ratios Data

Includes 30+ ratios · 10 years · Updated daily

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AXIN — Frequently Asked Questions

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

What is Axiom Intelligence Acquisition Corp 1's P/E ratio?

Axiom Intelligence Acquisition Corp 1's current P/E ratio is 51.9x. The historical average is 50.3x. This places it at the 100th percentile of its historical range.

Is AXIN stock overvalued?

Based on historical data, Axiom Intelligence Acquisition Corp 1 is trading at a P/E of 51.9x. This is at the 100th percentile of its historical P/E range. Compare with industry peers and growth rates for a complete picture.

What are Axiom Intelligence Acquisition Corp 1's profit margins?

Axiom Intelligence Acquisition Corp 1 has 41.7% gross margin and -169.2% operating margin.