SORN

Soren Acquisition

Fundamental data last updated:March 30, 2026

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company profile

SECTOR

Financial Services

industry

Shell Companies

Exchange

Nasdaq

County of HQ

United States

Next Earnings Date

Business Summary

Soren Acquisition is a special purpose acquisition company (SPAC) formed to identify and merge with a private business. As a shell company, it does not conduct substantive operations but instead seeks to complete a business combination that would take a target company public.

 


VALUATION

P/E

-

Market Cap ($M USD)

$343

Forward P/E

-

PEG

-

PRICE TO SALES

-

PRICE TO BOOK

500+

EV / EBITDA

-

5-Year Average P/E

Free Cash Flow Yield

DCF Value

Graham Number

Price to FCF

EV to FCF

Earnings Yield

FCF Yield

DIVIDEND

Yield

-

Annual Payout

-

Payout Ratio

-

Consecutive Years of Dividend Growth

-

5-Year Dividend Growth Rate

-

Financial Health & Profitability

Earnings Per Share

-

Next Year EPS Growth Estimate

-

Next Year Revenue Growth Estimate

-

Return on Equity (ROE)

-

FREE CASH FLOW

Operating Margin

-

Debt-to-Equity

1.5

Piotroski F-Score

-

Altman Z-Score

-

Return on Invested Capital (ROIC)

-

Current Ratio

0.1

Quick Ratio

Net Debt to EBITDA

Interest Coverage

Gross Profit margin

FCF PER SHARE

REVENUE PER SHARE

Gainseekers Quantitative Analysis

Summary

Soren Acquisition is a Nasdaq-listed shell company in the Financial Services sector with a market capitalization of $343 million. The company currently shows no reported earnings, sales, or profitability metrics, and trades at a price-to-book ratio above 500. It offers a trailing twelve-month yield of 1.5%, but most fundamental performance indicators are not available.

AI Exposure / Tech Reliance

As a shell company in the Financial Services sector, there is no disclosed information indicating meaningful AI exposure or technological reliance at this stage. Its structure suggests limited operating activity until a business combination is completed.

The Bull Case

With a $343 million market capitalization and a Nasdaq listing, the company has access to public capital markets that could support a future acquisition. The 1.5% trailing yield may provide some return to shareholders while the company seeks a transaction.

The Bear Case

The absence of earnings, sales, profitability metrics, and forward estimates creates significant uncertainty around valuation and future performance. A price-to-book ratio above 500 suggests elevated valuation risk relative to its current book value.

Market Sentiment & Smart Money

Short Interest %

-

Analyst Consensus

-

Average Analyst Price Target

-

Institutional Ownership %

-

1-Year Beta

-0.05

Insider Buying % (6 Mo)

-%

Distance to 52-Week High

91.00%

Distance to 52-Week Low

100.90%

EARNINGS SURPRISE %

50-DAY SMA

200-DAY SMA

⚠️ Financial Disclaimer:
This content is for informational purposes only and is not financial advice. Information may be delayed or inaccurate. We may earn a commission from partner links.