Update date
20 Mar 2026
Professional SEC-based dashboard for profitability, financial health, and growth with transparent scoring logic. Latest period: Q4 2025.
Shareable Research Card
NMP - NMP Acquisition Corp. has a source-backed company facts page for reviewing reported financial metrics, periods, and linked metric histories.
Start with the latest metric summary, then open metric histories or cross-company rankings to compare the same SEC-backed facts.
Based on company facts extracted from SEC 10-Q/10-K XBRL filings where available. Open metric pages to inspect the reported history.
Return Loop
Company facts change as new 10-Q and 10-K filings update the latest reported period, headline values, and cross-company comparison context.
Freshness comes from the latest SEC company facts period available for this filer and the linked metric history pages.
Latest update
Latest financial period: Q4 2025. Reopen this facts page to verify the newest reported period against the prior baseline.
Update date
20 Mar 2026
Page type
Company facts
Latest period
Q4 2025
SEC-backed company facts were refreshed from filings filed on 20 Mar 2026.
Benchmark Context
Return On Equity does not yet have enough prior-period data for a historical comparison on this page. It sits above the upper quarter of the current industry benchmark sample.
Compared with
Compared with NMP Acquisition Corp.'s recent history and the latest same-industry benchmark sample for the same metric.
Why this is notable
Use the history link to verify the prior-period change, then compare that metric with the current industry middle range if you want broader context.
Industry benchmark context uses SEC-reported values from the same methodology version. Latest periods may differ across companies.
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Based on company facts extracted from SEC 10-Q/10-K XBRL filings where available. Open company facts to inspect the reported metric history.
Latest SEC snapshot (2025-12-31) highlights Return On Equity 486.4%, Return On Assets 3.0%, and Current Ratio 4.02x.
Transparent 0-100 scoring model based on profitability, financial health, and growth factors.
60.1/100
Balanced Confidence low
486%
Metric score 100.0/100
3%
Metric score 12.7/100
Return On Equity
Return On Assets
Return On Equity
486%
YoY:
Industry median: -24% (n=730)
Return On Assets
3%
YoY:
Industry median: 1.3% (n=721)
Current Ratio
4.02x
YoY: +1544%
Industry median: 0.2x (n=651)
| Metric | Latest value | YoY change |
|---|---|---|
| Return On Equity | 486% | |
| Return On Assets | 3% |
| Metric | Latest value | YoY change |
|---|---|---|
| Current Ratio | 4.02x | +1544% |
| Metric | Latest value | YoY change |
|---|---|---|
| Net Income (Loss) Attributable to Parent | $1,778,676 |
| Metric | Latest value | YoY change |
|---|---|---|
| Assets, Current | $514,210 | +2789% |
| Assets | $117,797,809 | +661685% |
| Accounts Payable, Current | $122,954 | |
| Liabilities, Current | $127,917 | +76% |
| Retained Earnings (Accumulated Deficit) | $785,846 | |
| Stockholders' Equity Attributable to Parent | $786,293 | |
| Liabilities and Equity | $117,797,809 | +661685% |
| Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents | $353,247 | |
| Preferred Stock, Shares Authorized | 5,000,000 | 0% |
| Preferred Stock, Par or Stated Value Per Share | 0.0001 | 0% |
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 |
|---|---|---|
| ROIC | 20 | 5% to 20% |
| ROE | 15 | 8% to 25% |
| ROA | 10 | 2% to 10% |
| Operating Margin | 5 | 5% to 25% |
| Current Ratio | 12 | 1.0x to 2.0x |
| Quick Ratio | 8 | 0.8x to 1.5x |
| Debt to Equity | 10 | 0.3x to 2.0x (lower is better) |
| Revenue YoY | 10 | -10% to +20% |
| Net Income YoY | 10 | -10% to +20% |
Metrics are computed with a market-consensus convention designed for cross-portal comparability.