Cantor Equity Partners IV (CEPF) Fundamentals 2026 — P/E 251.4x, Revenue Analysis | SniperIQ
Cantor Equity Partners IV (CEPF) is a US-listed Financial Services company in Shell Companies with a market capitalization of $480M, trading at
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- 8-Quarter Revenue & Margin Trend
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Frequently Asked Questions
What is Cantor Equity Partners IV's market cap?
Cantor Equity Partners IV (CEPF) has a market capitalization of approximately $480M, trading at
What is Cantor Equity Partners IV's P/E ratio?
Cantor Equity Partners IV's trailing twelve-month P/E ratio is 251.4x, with a price-to-book (P/B) of 1.3x. Valuation multiples are best compared with Financial Services sector peers rather than read in isolation.
How profitable is Cantor Equity Partners IV?
Cantor Equity Partners IV runs a net profit margin of 0.0%, a gross margin of 0.0%, and an operating margin of 0.0%. Margins and ROE indicate how efficiently the business converts sales into profit and shareholder returns.
Does Cantor Equity Partners IV pay a dividend?
Cantor Equity Partners IV does not currently show a material trailing dividend yield; it is positioned more as a total-return name. Always confirm the latest dividend policy in the company's filings.
Is Cantor Equity Partners IV financially healthy?
Cantor Equity Partners IV carries a debt-to-equity ratio of 0.00x and a current ratio of 0.82x, with a market beta of 0.18. Lower leverage and a current ratio above 1.0 generally signal a stronger balance sheet.
Is Cantor Equity Partners IV a good stock to buy in 2026?
SniperIQ provides research-only market intelligence, not personalised financial advice or a buy/sell call. For Cantor Equity Partners IV (CEPF) the key facts are: market cap $480M, P/E 251.4x, 52-week range 10.09-10.67. Weigh valuation, profitability, growth, and balance-sheet strength against Financial Services peers and form your own view.
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