Symbols / OBAWU Stock $10.20 +0.00% Oxley Bridge Acquisition Limited
OBAWU (Stock) Chart
Stock Fundamentals
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About
Oxley Bridge Acquisition Limited does not have significant operations. It intends to effect a merger, amalgamation, share exchange, asset acquisition, share purchase, reorganization, or similar business combination with one or more businesses in the consumer and technology sectors. The company was incorporated in 2024 and is based in Vancouver, Canada.
Ratings
Insider Transactions
No recent insider transactions.
Financials
| Line Item | Trend | 2025-12-31 |
|---|---|---|
| Total Revenue |
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0.00
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| Operating Revenue |
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0.00
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| Operating Expense |
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0.46
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| Selling General And Administration |
|
0.46
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| General And Administrative Expense |
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0.46
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| Other Gand A |
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0.46
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| Total Expenses |
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0.46
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| Operating Income |
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-0.46
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| Total Operating Income As Reported |
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-0.46
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| EBITDA |
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-0.46
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| Normalized EBITDA |
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-5.71
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| EBIT |
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-0.46
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| Total Unusual Items |
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5.25
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| Total Unusual Items Excluding Goodwill |
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5.25
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| Net Income |
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4.78
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| Pretax Income |
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4.78
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| Other Income Expense |
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5.25
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| Gain On Sale Of Security |
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5.25
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| Tax Rate For Calcs |
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0.00
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| Tax Effect Of Unusual Items |
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0.79
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| Net Income Including Noncontrolling Interests |
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4.78
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| Net Income From Continuing Operation Net Minority Interest |
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4.78
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| Net Income From Continuing And Discontinued Operation |
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4.78
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| Net Income Continuous Operations |
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4.78
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| Normalized Income |
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0.32
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| Net Income Common Stockholders |
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4.78
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| Diluted NI Availto Com Stockholders |
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4.78
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| Line Item | Trend | 2025-12-31 | 2024-12-31 |
|---|---|---|---|
| Total Assets |
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259.33
+273712.14%
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0.09
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| Current Assets |
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1.06
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0.00
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| Cash Cash Equivalents And Short Term Investments |
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0.98
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0.00
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| Cash And Cash Equivalents |
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0.98
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0.00
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| Cash Equivalents |
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0.98
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—
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| Cash Financial |
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0.00
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—
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| Prepaid Assets |
|
0.08
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0.00
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| Total Non Current Assets |
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258.27
+272592.08%
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0.09
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| Non Current Deferred Assets |
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0.00
-100.00%
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0.09
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| Non Current Prepaid Assets |
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0.04
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0.00
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| Other Non Current Assets |
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258.23
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—
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| Total Liabilities Net Minority Interest |
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12.16
+10154.93%
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0.12
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| Current Liabilities |
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0.11
-5.94%
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0.12
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| Payables And Accrued Expenses |
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0.11
+113.96%
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0.05
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| Payables |
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0.04
+5.99%
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0.03
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| Accounts Payable |
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0.02
-29.49%
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0.03
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| Current Accrued Expenses |
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0.08
+317.54%
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0.02
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| Current Debt And Capital Lease Obligation |
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—
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0.07
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| Current Debt |
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—
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0.07
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| Other Current Borrowings |
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—
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0.07
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| Total Non Current Liabilities Net Minority Interest |
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12.04
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0.00
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| Long Term Debt And Capital Lease Obligation |
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—
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0.07
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| Long Term Debt |
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—
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0.07
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| Non Current Deferred Liabilities |
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12.04
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0.00
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| Stockholders Equity |
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247.17
+1037195.50%
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-0.02
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| Common Stock Equity |
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247.17
+1037195.50%
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-0.02
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| Capital Stock |
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258.23
+40794158.77%
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0.00
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| Common Stock |
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258.23
+40794158.77%
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0.00
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| Preferred Stock |
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0.00
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0.00
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| Share Issued |
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31.62
+15.00%
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27.50
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| Ordinary Shares Number |
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31.62
+15.00%
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27.50
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| Additional Paid In Capital |
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0.00
-100.00%
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0.02
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| Retained Earnings |
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-11.06
-22541.83%
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-0.05
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| Total Equity Gross Minority Interest |
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247.17
+1037195.50%
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-0.02
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| Total Capitalization |
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247.17
+1037195.50%
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-0.02
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| Working Capital |
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0.95
+900.81%
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-0.12
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| Invested Capital |
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247.17
+580208.90%
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0.04
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| Total Debt |
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—
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0.07
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| Net Debt |
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—
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0.07
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| Net Tangible Assets |
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247.17
+1037195.50%
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-0.02
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| Tangible Book Value |
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247.17
+1037195.50%
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-0.02
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| Dueto Related Parties Current |
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0.01
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0.00
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| Line Item | Trend | 2025-12-31 |
|---|---|---|
| Operating Cash Flow |
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-0.45
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| Cash Flow From Continuing Operating Activities |
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-0.45
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| Net Income From Continuing Operations |
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4.78
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| Other Non Cash Items |
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-5.19
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| Change In Working Capital |
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-0.05
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| Change In Prepaid Assets |
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-0.12
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| Change In Payables And Accrued Expense |
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0.08
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| Change In Accrued Expense |
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0.07
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| Change In Payable |
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0.00
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| Change In Account Payable |
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-0.01
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| Investing Cash Flow |
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-253.00
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| Cash Flow From Continuing Investing Activities |
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-253.00
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| Net Other Investing Changes |
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-253.00
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| Financing Cash Flow |
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254.43
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| Cash Flow From Continuing Financing Activities |
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254.43
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| Net Issuance Payments Of Debt |
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-0.24
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| Issuance Of Debt |
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0.00
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| Repayment Of Debt |
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-0.24
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| Short Term Debt Issuance |
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0.00
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| Short Term Debt Payments |
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-0.24
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| Net Short Term Debt Issuance |
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-0.24
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| Net Common Stock Issuance |
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253.00
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| Proceeds From Stock Option Exercised |
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6.40
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| Net Other Financing Charges |
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-4.73
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| Changes In Cash |
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0.98
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| Beginning Cash Position |
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0.00
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| End Cash Position |
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0.98
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| Free Cash Flow |
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-0.45
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| Common Stock Issuance |
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253.00
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| Issuance Of Capital Stock |
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253.00
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Trades
| Date | User | Broker | Pattern | Type | Position Size | Entry Price | Trade P&L | Status |
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Posts
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