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Consilium Acquisition Corp I (CSLMR) Stock Analysis

NASDAQFinancial ServicesShell Companies

$0.19+2.91%
1-year price historyRange $0.02 – $0.24
52-week range$0.19
$0.12$0.19

What Consilium Acquisition Corp I does

Consilium Acquisition Corp I, Ltd., established in Fort Lauderdale, Florida, in 2021, currently operates without significant ongoing business activities. Its primary objective is to finalize a strategic corporate consolidation, which could take the form of a merger, the acquisition of shares or assets, a restructuring, or a comparable business integration with other enterprises. The firm specifically seeks to partner with companies within the technology, financial services, or media industries, particularly those situated in Frontier Growth Markets.

Key metrics

Market cap
$1.68M
P/E (TTM)
0.00
EPS (TTM)
$0.00
Beta
0.03
Dividend yield
0.00%
Revenue / share
$0.00
50-day avg
$0.00
200-day avg
$0.00
52-week high
$0.19
52-week low
$0.12
CEO
Charles Theodore Cassel III, CFA

ETFs linked to CSLMR

Broad-market and Financial Services sector ETFs an investor holding Consilium Acquisition Corp I is often also exposed to. Open an ETF page to see its actual top holdings.

PortView Portfolio Insights

PortView analyzes how CSLMR fits your actual portfolio — position weight, portfolio concentration, unrealized gain/loss, contribution to return, sector exposure, indirect exposure through the ETFs you hold, and correlation with your other holdings. Connect a portfolio to see your personalized figures; PortView never shows another user's private holdings.

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Frequently asked questions

What is the ticker symbol for Consilium Acquisition Corp I?
Consilium Acquisition Corp I trades under the ticker CSLMR on NASDAQ.
Which exchange is CSLMR listed on?
CSLMR is listed on NASDAQ.
What sector does Consilium Acquisition Corp I operate in?
Consilium Acquisition Corp I is classified in the Financial Services sector (Shell Companies industry).
How can PortView help analyze CSLMR in a portfolio?
PortView shows CSLMR's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.

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