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Healthwell Acquisition Corp. I (HWELU) Stock Analysis

NASDAQFinancial ServicesShell Companies

$10.46+0.10%
1-year price historyRange $9.71 – $11.18
52-week range$10.46
$9.30$12.80

What Healthwell Acquisition Corp. I does

Healthwell Acquisition Corp. I currently has no substantive business operations. The company's primary objective is to execute a strategic business combination, which may take the form of a merger, asset acquisition, stock purchase, capital stock exchange, reorganization, or other similar transaction, involving one or more enterprises. It specifically targets the acquisition of technology-driven entities within the healthcare industry. Established in 2021, the company's principal office is located in Winnetka, Illinois.

Key metrics

Market cap
$98.17M
P/E (TTM)
36.83
EPS (TTM)
$0.28
Beta
0.05
Dividend yield
0.00%
Revenue / share
$0.00
50-day avg
$10.47
200-day avg
$10.34
52-week high
$12.80
52-week low
$9.30
CEO
Alyssa J. Rapp

ETFs linked to HWELU

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

PortView Portfolio Insights

PortView analyzes how HWELU 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 Healthwell Acquisition Corp. I?
Healthwell Acquisition Corp. I trades under the ticker HWELU on NASDAQ.
Which exchange is HWELU listed on?
HWELU is listed on NASDAQ.
What sector does Healthwell Acquisition Corp. I operate in?
Healthwell Acquisition Corp. I is classified in the Financial Services sector (Shell Companies industry).
How can PortView help analyze HWELU in a portfolio?
PortView shows HWELU'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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