Skip to main content

Charlton Aria Acquisition Corporation (CHARR)

NASDAQ Stock Market Financial Services Asset ManagementView data quality →
46.9Fair

ValueMarkers Composite Index

Top 18%#36,703 of 44,722

DCF data not available

Piotroski
1/9
Weak
Beneish
-
Altman
0.44
Distress
DCF Value
-
N/A
ROIC
-0.8%
Low
P/E
0.4
Value
Updated: ·Source: Data sourced from SEC filings and institutional providers. Not financial advice.·Report data issue

Charlton Aria Acquisition Corporation (CHARR) — VMCI valuation read

CHARR screens at VMCI 47/100, a 3-point gap below the Financial Services sector median (50). For a mid-cap Charlton Aria Acquisition Corporation share, that placement says the multi-pillar composite is richer or lower quality than the typical peer on a like-for-like basis.

CHARR has logged no Form 4 insider activity over the trailing 30 days. The tape reads neither bullish nor bearish on insider conviction. The next signal sits with the 10-Q schedule and the analyst calendar.

**Investor frame.** Value: CHARR trades at 16.0x earnings, 11% below the Financial Services median of 18.0x, while EV/EBITDA prints 9.0x against 12.0x for the Financial Services group. Quality: ROIC of 16.0% sits 6.0pp above the Financial Services median (10.0%), the cleanest like-for-like comparison on capital efficiency. Risk: net debt to EBITDA of -1.3x leaves covenant headroom, which sets the rate-cycle exposure for Charlton Aria Acquisition Corporation.

CHARR rose 0.3% over the trailing 7 days, with a -8.9% read on a 30-day basis.

Top peers ranked by VM Score. Compare valuation, quality, and risk metrics across the sector.

Browse More

Weekly Stock Analysis - Free

5 undervalued stocks, fully modeled. Every Monday. No spam.

Cookie Preferences

We use cookies to analyze site usage and improve your experience. You can accept all, reject all, or customize your preferences.