Blue Water Acquisition Corp. III financial metrics

Professional SEC-based dashboard for profitability, financial health, and growth with transparent scoring logic. Latest period: Q3 2025.

Symbol
BLUW, BLUWU, BLUWW on Nasdaq
Location
Greenwich, CT
Fiscal year end
31 December
Latest financial report
14 Nov 2025

Quick Takeaways

  • BLUW - Blue Water Acquisition Corp. III financial facts are built from SEC company filings data.
  • Latest metrics period on this page: Q3 2025.
  • Headline metric: Return On Equity -28%.

What Changed

  • Return On Equity YoY change: .
  • Most recent SEC facts end date: 30 Sep 2025.

Why This Matters

  • This gives a beginner-friendly first read before you inspect detailed formulas and metric tables.
  • Every metric card links to a deeper SEC-backed history page for verification.

Official SEC Source

Based on latest 10-Q/10-K

Facts and ratios are grounded in SEC company facts linked to the latest 10-Q/10-K cycle.

See Original Filing

Latest SEC snapshot (2025-09-30) highlights Return On Equity -27.9%, Return On Assets 0.9%, and Current Ratio 2.98x.

Financial Quality Score

Transparent 0-100 scoring model based on profitability, financial health, and growth factors.

21.8/100

Weak Confidence low

Return On Equity

-28%

Metric score 0.0/100

Return On Assets

0.89%

Metric score 0.0/100

Financial Health

Current Ratio
2.98x

Strengths

No strong signals yet.

Watchpoints

Return On Equity and Return On Assets

Key metrics snapshot

Return On Equity

-28%

YoY:

Industry median: -24% (n=727)

View history

Return On Assets

0.89%

YoY:

Industry median: 1.3% (n=718)

View history

Current Ratio

2.98x

YoY:

Industry median: 0.2x (n=650)

View history

Profitability

Metric Latest value YoY change
Return On Equity -28%
Return On Assets 0.89%

Financial Health

Metric Latest value YoY change
Current Ratio 2.98x

Growth

Metric Latest value YoY change
Net Income (Loss) Attributable to Parent $2,292,067

Additional Metrics

Metric Latest value YoY change
General and Administrative Expense $137,670
Operating Income (Loss) $423,510
Nonoperating Income (Expense) $2,715,577
Cash and Cash Equivalents, at Carrying Value $759,229
Assets, Current $869,089
Assets $257,193,812
Accounts Payable, Current $42,292
Accrued Liabilities, Current $204,275
Liabilities, Current $291,805
Liabilities $9,146,805
Retained Earnings (Accumulated Deficit) $8,226,153
Stockholders' Equity Attributable to Parent $8,225,452
Liabilities and Equity $257,193,812
Preferred Stock, Shares Issued 0
Preferred Stock, Shares Authorized 5,000,000
Preferred Stock, Shares Outstanding 0
Preferred Stock, Par or Stated Value Per Share 0

How we score

This score is transparent and deterministic. We weight profitability, financial health, and growth metrics, then renormalize weights when SEC data is missing.

Metric Weight V1 threshold
ROIC205% to 20%
ROE158% to 25%
ROA102% to 10%
Operating Margin55% to 25%
Current Ratio121.0x to 2.0x
Quick Ratio80.8x to 1.5x
Debt to Equity100.3x to 2.0x (lower is better)
Revenue YoY10-10% to +20%
Net Income YoY10-10% to +20%

How Calculated (standard_v1)

Metrics are computed with a market-consensus convention designed for cross-portal comparability.

  • TTM Operating Income / TTM Revenues
  • Current Assets / Current Liabilities (latest instant quarter)
  • (Current Assets - Inventory) / Current Liabilities; fallback: (Cash+Short-Term Investments + Accounts Receivable) / Current Liabilities
  • Total Debt / Stockholders Equity (latest instant quarter; shared unit; freshest series)
  • TTM Net Income / Average Equity (current quarter + same quarter previous year) / 2
  • TTM Net Income / Average Assets (current quarter + same quarter previous year) / 2
  • TTM NOPAT / Average Invested Capital, where NOPAT=Operating Income*(1-tax rate), Invested Capital=Equity+Total Debt-Cash & ST Investments
  • TTM Revenues YoY
  • TTM Net Income YoY