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Plutonian Acquisition Corp. Unit (PLTNU) Stock Analysis

NASDAQFinancial ServicesShell Companies

$2.66-65.05%
1-year price historyRange $2.66 – $12.06
52-week range$2.66
$2.66$15.04

What Plutonian Acquisition Corp. Unit does

Plutonian Acquisition Corp. is primarily focused on completing a business combination, which could involve a merger, asset acquisition, stock purchase, share exchange, recapitalization, or other similar corporate transaction with one or more target entities. Established in 2021 and based in New York City, the company intends to pursue acquisition opportunities with businesses operating in the metaverse technologies, tourism, and e-commerce sectors throughout the Asia-Pacific region.

Key metrics

Market cap
$12.15M
P/E (TTM)
15.11
EPS (TTM)
$0.18
Beta
-0.10
Dividend yield
0.00%
Revenue / share
$0.00
50-day avg
$9.30
200-day avg
$10.44
52-week high
$15.04
52-week low
$2.66
CEO
Wei Kwang Ng

ETFs linked to PLTNU

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

PortView Portfolio Insights

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