Twelve Seas Investment Co II - Asset Resilience Ratio

Latest as of June 2023: 98.60%

Twelve Seas Investment Co II (TWLV) has an Asset Resilience Ratio of 98.60% as of June 2023. The Asset Resilience Ratio measures the percentage of a company's total assets that are held in liquid form (cash and short-term investments). This metric indicates how well-positioned the company is to handle unexpected financial challenges, economic downturns, or strategic opportunities without requiring external financing. Read Twelve Seas Investment Co II (TWLV) total liabilities for a breakdown of total debt and financial obligations.

Liquid Assets

$33.22 Million
Cash + Short-term Investments

Total Assets

$33.69 Million
All company assets

Resilience Assessment

Very High
Financial Resilience Level

Asset Resilience Ratio Trend (None–None)

This chart shows how Twelve Seas Investment Co II's Asset Resilience Ratio has changed over time. See Twelve Seas Investment Co II book value and equity for net asset value and shareholders' equity analysis.

Liquid Assets Composition Over Time

This chart breaks down Twelve Seas Investment Co II's liquid assets into cash & equivalents and short-term investments, showing how the composition has evolved over time. For market capitalisation and broader financial context, see TWLV market cap.

Current Liquid Assets Breakdown

Component Amount % of Total Assets
Cash & Equivalents $0.00 0%
Short-term Investments $33.22 Million 98.6%
Total Liquid Assets $33.22 Million 98.60%

Asset Resilience Insights

  • Very High Liquidity: Twelve Seas Investment Co II maintains exceptional liquid asset reserves at 98.60% of total assets.
  • This level provides strong protection against economic uncertainties but may indicate potential for more aggressive growth investments.
  • The company has significant short-term investments, indicating active treasury management.

Twelve Seas Investment Co II Industry Peers by Asset Resilience Ratio

Compare Twelve Seas Investment Co II's asset resilience ratio with other companies in the same industry.

Company Industry Asset Resilience Ratio
FG Merger II Corp. Unit
NASDAQ:FGMCU
Shell Companies 1150.63%
Melar Acquisition Corp. I Class A Ordinary Shares
NASDAQ:MACI
Shell Companies 97.77%
AlphaTime Acquisition Corp Ordinary Shares
NASDAQ:ATMC
Shell Companies 96.92%
Hexima Ltd
AU:HXL
Shell Companies 98.63%
Nordon Indústrias Metalúrgicas S/A
SA:NORD3
Shell Companies 53.15%

Annual Asset Resilience Ratio for Twelve Seas Investment Co II (None–None)

The table below shows the annual Asset Resilience Ratio data for Twelve Seas Investment Co II.

Year Asset Resilience Ratio (%) Liquid Assets Total Assets Change
No yearly data available.
pp = percentage points

About Twelve Seas Investment Co II

NASDAQ:TWLV USA Shell Companies
Market Cap
$176.56 Million
Market Cap Rank
#17163 Global
#3942 in USA
Share Price
$9.95
Change (1 day)
+0.00%
52-Week Range
$9.87 - $10.00
All Time High
$10.00
About

Twelve Seas Investment Company III does not have significant operations. It intends to effect a merger, amalgamation, share exchange, asset acquisition, share purchase, reorganization, or similar business combination with one or more businesses. Twelve Seas Investment Company III was incorporated in 2024 and is based in Los Angeles, California.