AFJK
Aimei Health Technology Co., LtdFinancial Services·Shell Companies
$42.00
$257M market cap
Revenue
$0.0M
Free Cash Flow
$-0.0M
Rev Growth
+0.0%
FCF Margin
0.0%
P/FCF
--
EV/FCF
--
Fwd EV/EBITDA
--
Fair Value
--
Upside
--
Aimei Health Technology Co., Ltd does not have significant operations. It intends to effect a merger, share exchange, asset acquisition, share purchase, recapitalization, reorganization, or similar business combination with one or more businesses or entities. It intends to acquires businesses in the biopharmaceutical, medical technology/device industries or diagnostic, and other services sectors. Aimei Health Technology Co., Ltd was incorporated in 2023 and is based in New York, New York.
2-Year Price History
$40.06+288.2%
Quarterly Financials & Projections
Quarterly Waterfall ($ M)
| Period | Rev | EBITDA | OpIn | NI | OCF | FCF | CapEx | Cash | Debt | Shares | ROIC | IntCov | EV/EBITDA | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Act | 2025-Q4 | 0.0 | -0.3 | -0.3 | 0.1 | -0.0 | -0.0 | -0.0 | 0.0 | 2.0 | 4.1 | -10.8% | -- | -- |
Valuation & Metrics
Market Stats
Price$42.00
Market Cap$257M
Enterprise Value$259M
P/S Ratio0.0x
P/FCF--
EV/FCF--
FCF Margin (TTM)0.0%
FCF Yield0.0%
Dividend Yield (TTM)--
Annual Dilution0.0%
CurrencyUSD
TTM Financial Snapshot
Revenue$0.0M
Net Income$0.1M
Free Cash Flow$-0.0M
Revenue Growth (YoY)+0.0%
EBITDA Margin0.0%
Net Margin0.0%
FCF Margin0.0%
CapEx % of Revenue0.0%
SBC % of Revenue0.0%
ROIC-10.8%
WC Change % Rev0.0%
Interest Coverage--
Forward Outlook & Risk
Short Interest
Short % of Float--
Short Shares0.0M
Days to Cover1.0
Change (vs Prior)-23.0%
Need at least 2 settlement dates for chart
Employees
Headcount2
Revenue / Employee$0
Gross Profit / Employee$0
Cash Runway
0.8months
CRITICAL
Institutional Ownership
Headline & net flow
NEUTRAL
Net flow · —still filing
No float data — flow unavailable.
Ownership composition
Active
4.5%(-12.9% YoY)
8 filers
hedge / family / endowment
Retail funds
—
Fidelity, Schwab, 401(k)
Passive
0.0%(+0.0% YoY)
0 filers
Vanguard, iShares, SPDR
Market makers
0.0%(-0.1% YoY)
0 filers
Citadel, Susquehanna
Insiders
—
Form 4 — latest per insider
ActiveRetail fundsPassiveMarket makersRetail direct
Top holders
| Fund | $ value | Cost basis | Δ QoQ | Δ YoY | α life | Fund AUM |
|---|---|---|---|---|---|---|
| Vivaldi Asset Management, LLC | $7.7M | $10.26 | +$0 | +$0 | +2.9% | $1.90B |
| GLAZER CAPITAL, LLC | $1.5M | $10.27 | −$401K | −$1.9M | +8.8% | $4.51B |
| Clear Street Group Inc. | $948K | $14.85 | +$546K | +$948K | -7.5% | $17.82B |
| Karpus Management, Inc. | $888K | $10.26 | −$23.2M | −$11.5M | -0.8% | $3.07B |
| ADVISOR GROUP HOLDINGS, INC. | $6K | $55.09 | −$15K | +$2K | -0.3% | $67.63B |
| Federation des caisses Desjardins du Quebec | $5K | $24.50 | +$5K | +$5K | -0.3% | $27.79B |
| MORGAN STANLEY | $1K | $20.16 | +$0 | +$0 | -0.3% | $1.65T |
| UBS Group AG | $0 | $10.60 | −$32K | −$105K | -0.3% | $562.11B |
Cost basis is a volume-weighted estimate from accumulation periods within our 13F history; holders who built their position before our window started will show a stale basis. % above the cost basis is the unrealized gain at the current price.
Trading behavior
Smart-money alpha (lifetime, %/qtr)BEARISH
Holders
+2.80%
avg per quarter
Holders (ex-self)
+2.52%
excl. this stock
Buyers (this Q)
-7.40%
2 buyers · $0.00B in
Sellers (this Q)
-0.15%
4 sellers · $0.01B out
alpha coverage: 100% of $ has a lifetime-alpha record
Holder behavior on this stocksource: stock
On big dips (−10%+)
-86.6%
how holders react when this stock falls
On quiet Qs
-3.3%
−10% to +10% baseline
On rallies (+10%+)
-55.2%
how they react when this stock rises
Holders' portfolio flow this Q
+5.4%
inflows — adds are organic
Sellers' portfolio flow this Q
-20.1%
Sellers shed AUM broadly — partly forced.
▸ Compare to holder-profile behavior (across all their stocks)
Holder dip (any stock)
+9.3%
Holder mid (any stock)
+7.7%
Holder rally (any stock)
-4.4%
Biggest decreases this quarter
New buyers this quarter
Top-5 holders · 99.9%
Vivaldi Asset Management, LLC--
GLAZER CAPITAL, LLC--
Clear Street Group Inc.--
Karpus Management, Inc.--
ADVISOR GROUP HOLDINGS, INC.--
Top Holders Over Time
5-year share-count history (top 10 holders by peak, incl. exited) + price
hover the chart for per-quarter detailprice (right axis)
Karpus Management, Inc.77KMIZUHO SECURITIES USA LLC—Vivaldi Asset Management, LLC680KWOLVERINE ASSET MANAGEMENT LLC—GLAZER CAPITAL, LLC134KMIZUHO SECURITIES USA LLC—Wealthspring Capital LLC—BERKLEY W R CORP—FIR TREE INC.—Shaolin Capital Management LLC—
Corporate
Order Flow (FINRA, ~3w lag)
44.8%retail+7.3pp
3.2%dark+0.4pp
week of 2026-04-13
Off-exchange volume from FINRA. Retail = non-ATS (wholesaler PFOF + broker internalization). Dark = ATS (dark-pool crossing networks, institutional). Lit-exchange = remainder.
Filing Risk Analysis
Filing Risk Scores
AFJK: A Hollow Shell Running on Fumes and Related Party IOUs
Overall Risk
8/10
Fraud
3/10
Dilution
8/10
Insolvency
9/10
Earnings Overstated
4/10
Hidden Liabilities
6/10
Legal
4/10
Audit Warnings
8/10
Hidden Upside
2/10
Contextually Acceptable
3/10