Stocks · Financial Services · Financial - Conglomerates

Social Capital Hedosophia Holdings Corp. IV IPOD

$10.49 -1.87% Close, Oct 5, 2026 · NASDAQ · Market cap $154.8M

Expensive vs sectorLow risk

Scroll or pinch to zoom, drag to move. Daily prices adjusted for splits. Markers: E = earnings (green beat, red miss), S = split, D = dividend.

Three things to know

  1. The stock is in an uptrend: above its 200-day average for 101 trading days, with the 50-day average above the 200-day.
  2. The company holds net cash of $43,642 (cash above total debt).
  3. Over the past year the stock returned +4.4%, behind the S&P 500 by 11.4 percentage points.

PromtFinance scores

Each score is a percentile within the Financial Services sector (0–100). Under each score: how the stock ranks in its sector on every component. As of Oct 6, 2026.

Growth—Not enough data

How fast revenue, earnings and cash flow are growing.

Quality6Very weak

Returns on capital, margins, earnings quality and balance-sheet strength.

  • Return on invested capitalBottom 15%
  • Cash conversion (OCF / net income)Bottom 15%
  • Accruals (lower is better)Bottom 16%
Value13Very weak

How cheap the shares are relative to earnings, cash flow and their own history.

  • Earnings yieldBottom 25%
  • Free-cash-flow yieldBottom 19%
  • EBITDA / enterprise valueBottom 10%
  • P/E vs own 5-year history (lower is better)Bottom 26%
Momentum52Neutral

Strength and persistence of the price trend, including versus the S&P 500.

  • 12-month return excluding last monthBottom 42%
  • 6-month returnBottom 27%
  • 1-year return vs S&P 500Bottom 48%
  • Distance from 52-week highTop 10%
  • Trend checklist (0–4)Top 26%
Revisions—Not enough data

Earnings surprises and analyst sentiment (estimate-revision history is being collected).

Stability90Exceptional

Low volatility, shallow drawdowns, low market sensitivity and modest leverage.

  • Volatility, 60 days (lower is better)Top 17%
  • Maximum drawdown, 3 yearsTop 10%
  • Beta vs S&P 500 (lower is better)Top 3%

Fundamental momentum

MeasureNow (TTM)Year / quarter beforeSector rank
Return on invested capital-1.2%—Bottom 15%

Quality of earnings and balance sheet

Cash conversion (OCF / net income)Above 1× means profits are backed by cash.
-0.14×
Accruals (net income − OCF) / assetsLower is better; high accruals can signal weaker earnings quality.
2.8%
Net debt / EBITDABelow 1× is conservative; above 3× is high leverage.
Net cash

Shareholder returns

Dividend yield (dividends paid, TTM)
0.00%
Net buyback yield (TTM)
92.49%
Shareholder yield
92.49%
Share count change, 1 year
+0.7%
Share count change, 3-year CAGR
-37.7%

Shareholder yield = dividends + net buybacks over the last four quarters, divided by market cap.

Based on the four quarters through Jun 30, 2026 (filed Aug 7, 2026).

Earnings and expectations

Earnings momentum

Average 2-day reaction, last 8
-0.1%
Positive 20 days after report
1 of 1

How the stock reacted to recent reports

Report dateEPS surprise2 days5 days20 days60 days
Aug 7, 2026—-0.2%+0.3%——
May 12, 2026—+0.0%+0.0%+0.2%+1.4%

Returns from the close before each report. Past reactions do not determine future ones.

Earnings history

Report dateEPSEstimateSurpriseRevenue
Aug 7, 2026$0.02———
May 12, 2026$0.04———

Valuation in context

MultipleNow5-year median5-year percentileSector rank (cheapness)
P/E (trailing)45.6×33.7×78thBottom 25%
Free-cash-flow yield-0.33%——Bottom 19%
Earnings yield2.19%——Bottom 25%

P/E over the past five years

Range 11.2× – 88.9× since Jun 30, 2021. Each point: price on the filing date divided by trailing-twelve-month EPS known then.

Technical state

Trend checklist

  • ✗ Price above 20-day average
  • ✓ Price above 50-day average
  • ✓ Price above 200-day average
  • ✓ 50-day average above 200-day
  • ✓ MACD histogram positive

Trend quality

Days above the 50-day average
91
Days above the 200-day average
101
50-day average slope (20 days)
+0.6%
200-day average slope (20 days)
+0.4%
Distance from 50-day average
+0.1%
Distance from 200-day average
+1.4%
RSI (14)
44.0
Relative volume
0.01×

Risk and drawdowns

Volatility, 60 days (annualized)
5.3%
Beta vs S&P 500 (2 years, weekly)
-0.02
Correlation with S&P 500
-0.11
Current drawdown from 1-year high
-2.0%
Maximum drawdown, 3 years
-2.0%

Financial statements

Market cap
$154.8M
P/E (TTM)
45.6
EPS, diluted (TTM)
$0.23
Revenue (TTM)
$0
52-week range
$10.06 – $10.70
FY 2020FY 2021FY 2025
Revenue$0$0$0
Gross profit$0$0$0
Operating income-$257,000-$2.6M-$451,915
Net income-$257,000$52.4M$3.3M
EPS (diluted)-$0.00$0.91$0.22
Q2 2022Q4 2024Q1 2025Q2 2025Q3 2025Q4 2025Q1 2026Q2 2026
Revenue$0$0$0$0$0$0$0$0
Net income$17.2M-$36,702-$48,094$761,019$1.3M$1.3M$714,594$359,974
EPS (diluted)$0.30-$0.00-$0.00$0.05$0.07$0.10$0.04$0.02
FY 2021FY 2025
Operating cash flow-$869,871-$429,113
Capital expenditure$0$0
Free cash flow-$869,871-$429,113
Dividends paid$0$0
Net share buybacks$0$145.2M

Cash outflows are shown as negative numbers.

Cash and short-term investments
$43,642
Total assets
$150.6M
Total liabilities
$7.1M
Total debt
$0
Net debt
-$43,642
Shareholders’ equity
$143.5M

As of Jun 30, 2026 (filed Aug 7, 2026).

Short interest

Shares sold short
1,356
Days to cover
1.00
Change vs previous report
+2.1%

FINRA short interest, settlement date May 15, 2026.