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Velocity Acquisition Corp. VELOU NASDAQ

NASDAQ Capital Marke • Financial Services • Shell Companies • US • USD

SharesGrow Score
23/100
0/5 Pass
SharesGrow Intrinsic Value
N/A
Negative cash flow

Velocity Acquisition Corp. (VELOU) generated $-27.64B in operating cash flow for fiscal year 2025. After capital expenditures of $2.72B, free cash flow was $-30.35B.

Free cash flow margin was -66023.5% of revenue. Cash conversion ratio was 0.39x, suggesting some earnings are non-cash.

Criteria supported by this page:

  • HEALTH (67/100, Partial) — cash generation is adequate but may not fully cover debt in stressed conditions
  • MOAT (0/100, Fail) — limited free cash flow weakens the competitive position
  • INCOME (10/100) — Cash conversion ratio was 0.39x suggests some earnings are non-cash items

Overall SharesGrow Score: 22/100 with 0/7 criteria passed.

SharesGrow 7-Criteria Score
23/100
SG Score
View full scorecard →
VALUE
N/A
No coverage
FUTURE
N/A
No coverage
PAST
25/100
→ Income
~
HEALTH
67/100
Debt-to-Equity & liquidity
Proven by this page
MOAT
0/100
Proven by this page
GROWTH
15/100
→ Income
INCOME
10/100
→ Income
Velocity Acquisition Corp. Cash Flow History
Metric TTM FY2025 FY2024 FY2023 FY2022
Operating Cash Flow $-27.64B$-27.64B$-32.68M$-105.64M$-123.96M
Capital Expenditure $-2.72B$-2.72B$-9K$-3.21M$-19.42M
Free Cash Flow $-30.35B$-30.35B$-32.69M$-108.85M$-143.38M
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