NAAC is a blank check company, also commonly referred to as a SPAC, formed for the purpose of effecting a business combination with a company with global ambition, with a primary focus on the consumer, industrials and TMT sectors in Europe or North America, where its Board of Directors has multiple decades of experience.
Company profile
Ticker
NAAC
Exchange
Employees
Incorporated
Location
Fiscal year end
Industry (SIC)
Former names
North Atlantic Acquisition Corporation
SEC CIK
NAAC stock data
Latest filings (excl ownership)
15-12G
Securities registration termination
6 Feb 23
25-NSE
Exchange delisting
26 Jan 23
8-K
North Atlantic Acquisition Corporation Announces Cancellation of Annual General Meeting of Shareholders and Liquidation
25 Jan 23
DEFA14A
Additional proxy soliciting materials
18 Jan 23
8-K
Other Events
18 Jan 23
DEF 14A
Definitive proxy
20 Dec 22
PRE 14A
Preliminary proxy
6 Dec 22
10-Q
2022 Q3
Quarterly report
9 Nov 22
10-Q
2022 Q2
Quarterly report
10 Aug 22
425
Business combination disclosure
1 Jul 22
Latest ownership filings
SC 13G/A
FIR TREE CAPITAL MANAGEMENT LP
14 Feb 24
SC 13G/A
FIR TREE CAPITAL MANAGEMENT LP
14 Feb 23
SC 13G
GLAZER CAPITAL, LLC
14 Feb 23
SC 13G
MARSHALL WACE, LLP
14 Feb 23
SC 13G/A
GOLDMAN SACHS GROUP INC
13 Feb 23
SC 13G/A
HIGHBRIDGE CAPITAL MANAGEMENT LLC
25 Jan 23
SC 13G
FIR TREE CAPITAL MANAGEMENT LP
14 Feb 22
SC 13G/A
BlueCrest Capital Management Ltd
11 Feb 22
SC 13G/A
RP Investment Advisors LP
11 Feb 22
SC 13G
NAAC Sponsor LP
10 Feb 22
Financial summary
Quarter (USD) | Sep 22 | Jun 22 | Mar 22 | Dec 21 | |
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Revenue | |||||
Cost of revenue | |||||
Operating income | |||||
Operating margin | |||||
Net income | |||||
Net profit margin | |||||
Cash on hand | |||||
Change in cash | |||||
Diluted EPS |
Annual (USD) | Dec 21 | Dec 20 | |
---|---|---|---|
Revenue | |||
Cost of revenue | |||
Operating income | |||
Operating margin | |||
Net income | |||
Net profit margin | |||
Cash on hand | |||
Change in cash | |||
Diluted EPS |
Cash burn rate (est.) | Burn method: Change in cash | Burn method: Operating income | Burn method: FCF (opex + capex) | Last Q | Avg 4Q | Last Q | Avg 4Q | Last Q | Avg 4Q |
---|---|---|---|---|---|---|
Cash on hand (at last report) | 378.37 k | 378.37 k | 378.37 k | 378.37 k | 378.37 k | 378.37 k |
Cash burn (monthly) | 39.47 k | 96.45 k | 94.88 k | 149.08 k | (no burn) | (no burn) |
Cash used (since last report) | 709.68 k | 1.73 mm | 1.71 mm | 2.68 mm | n/a | n/a |
Cash remaining | -331.30 k | -1.36 mm | -1.33 mm | -2.30 mm | n/a | n/a |
Runway (months of cash) | -8.4 | -14.1 | -14.0 | -15.4 | n/a | n/a |
Institutional ownership, Q3 2023
7.0% owned by funds/institutions
13F holders | Current |
---|---|
Total holders | 21 |
Opened positions | 2 |
Closed positions | 5 |
Increased positions | 0 |
Reduced positions | 10 |
13F shares | Current |
---|---|
Total value | 8.84 bn |
Total shares | 2.66 mm |
Total puts | 0.00 |
Total calls | 200.55 k |
Total put/call ratio | – |
Largest owners | Shares | Value |
---|---|---|
Mangrove Partners | 442.13 k | $5.16 bn |
Boothbay Fund Management | 309.70 k | $3.61 bn |
Atw Spac Management | 289.61 k | $10.22 mm |
Polar Asset Management Partners | 285.00 k | $11.66 mm |
Yakira Capital Management | 170.00 k | $6.00 mm |
Feis Lawrence Michael | 149.96 k | $1.62 mm |
Hudson Bay Capital Management | 139.07 k | $5.69 mm |
Periscope Capital | 135.00 k | $4.83 mm |
CVI | 120.00 k | $4.92 mm |
Shaolin Capital Management | 102.00 k | $4.00 k |