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Blue Horizon Global Capital Corp. (MOOIF) Stock Analysis

$0.002 -$0.018 (-90.00%)
MCap: $2.21M| Vol: 10.2K| 52-wk range: $0.0007 – $0.05
Data from FMP · Methodology

For informational purposes only. Not financial advice. Analysis by Sedat ANAK, Founder & Editor-in-Chief | AI-powered analysis. Data sourced from SEC filings and institutional-grade financial providers. Editorially reviewed. Not financial advice.

Blue Horizon Global Capital Corp. (MOOIF) trades at $0.002. Blue Horizon Global Capital Corp. is an investment firm primarily focused on identifying and committing capital to securities in the technology, software development, and biotechnology sectors. Market cap: $2.21M, Sector: Technology.

Price as of Aug 21, 2026 · Last analyzed: Jun 15, 2026
Blue Horizon Global Capital Corp. is an investment firm primarily focused on identifying and committing capital to securities in the technology, software development, and biotechnology sectors. Operating on the OTC market, the company seeks to generate returns through strategic investments in both privately-held and publicly-traded entities.

Analyst Coverage for MOOIF: MOOIF does not currently have published analyst price targets in our coverage universe. This is common for smaller-cap names with limited Wall Street coverage. In the absence of analyst consensus, our AI model evaluates MOOIF against Technology peers across nine fundamental dimensions and assigns an underweight signal based on the underlying data.

Watch the MOOIF film Every key number, told as a short cinematic story — just press play. ~2 min
Council Score · Weighted Average of 3 Disciplines
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Not enough scored data yet to form a council read on MOOIF.

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Council Score · Weighted Average of 3 Disciplines · See tabs for details →

Blue Horizon Global Capital Corp. (MOOIF) Technology Profile & Competitive Position

CEOPhilip Wong
HeadquartersNorth York, CA
IPO Year2018

Blue Horizon Global Capital Corp. operates as an investment firm, strategically deploying capital into securities across the technology, software development, and biotechnology industries. The company, headquartered in North York, Canada, aims to capitalize on innovation within these high-growth sectors, engaging with both private and public market opportunities.

Data Provenance | Financial Data Quantitative Analysis Analysis: Jun 15, 2026

What Is the Investment Thesis for MOOIF?

As of Jun 15, 2026 — figures reflect the data available on that date.

Blue Horizon Global Capital Corp. presents an investment thesis centered on its focused capital deployment strategy within the technology, software, and biotechnology sectors. With a reported profit margin of 151.6% and a gross margin of 100.0%, the company demonstrates exceptional profitability metrics, albeit from a small market capitalization of $2.21M. The P/E ratio of 26.49 indicates investor expectations for future earnings growth, aligning with its strategy of investing in high-growth industries. Its high Beta of 2.37 suggests significant volatility, reflecting both the speculative nature of its OTC listing and the inherent risks and potential rewards associated with early-stage or growth-oriented investments. Key growth catalysts include successful identification and nurturing of high-potential portfolio companies, leading to significant capital appreciation or successful exits. The firm's ability to adapt its investment focus to emerging trends within its target sectors will be crucial for sustained value creation. However, the OTC listing and micro-cap status introduce substantial liquidity and disclosure risks, necessitating careful monitoring of its portfolio performance and operational transparency.

Based on FMP financials and quantitative analysis

MOOIF Key Highlights

Market capitalization stands at $0.02 billion, indicating its status as a micro-cap entity within the investment landscape.

  • Achieved a P/E ratio of 26.49, reflecting market expectations for future earnings growth from its investment activities.
  • Reported an exceptional profit margin of 151.6%, suggesting highly efficient capital deployment or significant gains from its investment portfolio.
  • Maintained a gross margin of 100.0%, which is characteristic of an investment firm with minimal cost of goods sold, focusing on capital gains.
  • Exhibits a Beta of 2.37, indicating significantly higher volatility compared to the broader market, consistent with its OTC listing and investment strategy in dynamic sectors.

Who Are MOOIF's Competitors?

MOOIF is benchmarked below against 8 industry peers on price, market cap, and our AI MoonshotScore.

Company Price Change Market Cap AI Score
ARBB ARB IOT Group Limited $5.30 +32.17% $9.36M 57
JDZG JIADE Limited $4.26 +0.24% 53
SPOFF EarthLabs Inc. $0.23 -2.04% $31.9M 52
TTEC TTEC Holdings, Inc. $1.43 -4.67% $69.6M 54
HLEO Helio Corporation $3.10 -13.89% $80.4M 52
IAIC Information Analysis Incorporated $4.28 +12.34% $81.9M 66
ULPRF ULS Group, Inc. $2.49 +0.00% $141M 54
ALVNF Alviva Holdings Limited $1.54 +0.00% $168M 55

AI Score by Stock Expert AI · Price data: FMP / Yahoo Finance

What Are MOOIF's Key Strengths?

Highly focused investment strategy on high-growth sectors: technology, software, and biotechnology.

  • Exceptional reported profit margin of 151.6% and gross margin of 100.0%, indicating strong financial performance from its investments.
  • Flexibility to invest in both privately-held and publicly-traded companies.
  • Strategic rebranding in December 2023 to align with its core investment mission.

What Are MOOIF's Weaknesses?

Small market capitalization of $2.21M, potentially limiting access to larger investment opportunities or institutional capital.

  • OTC Other tier listing implies limited regulatory oversight and potential for lower liquidity, increasing investment risk.
  • High Beta of 2.37 suggests significant share price volatility, which can deter risk-averse investors.
  • Reliance on successful investment selection in inherently volatile and competitive sectors.

What Could Drive MOOIF Stock Higher?

MOOIF catalyst: Successful capital raises or new fund launches that increase the firm's deployable capital, enabling larger or more numerous investments in its target sectors.

  • Realization of significant capital gains from the successful exit or IPO of a portfolio company, directly impacting the firm's profitability and asset value.
  • Strategic investments in high-growth technology or biotechnology companies that demonstrate rapid innovation or market adoption, enhancing portfolio performance.
  • Any improvements in disclosure practices or a potential uplisting to a higher OTC tier, which could attract broader investor interest and improve liquidity.
  • Expansion of its investment team or network, leading to enhanced deal flow and improved selection of high-potential investment opportunities.

What Are the Key Risks for MOOIF?

Financial-distress signal — its Altman Z-Score of -36.61 sits in the distress zone (elevated bankruptcy risk).

  • Weak fundamentals — a Piotroski F-Score of 3/9 flags soft profitability, leverage or efficiency.
  • Significant losses from underperforming or failed investments within its technology, software, or biotechnology portfolio, directly impacting the firm's financial health.
  • The inherent risks of trading on the OTC Other market, including extremely low liquidity, limited regulatory oversight, and potential for price manipulation.
  • High market volatility (Beta of 2.37) could lead to substantial fluctuations in the company's stock price, independent of its underlying investment performance.
  • Intense competition from larger, more established investment firms for access to promising investment opportunities in its target high-growth sectors.
  • Economic downturns or sector-specific corrections in technology or biotechnology markets could negatively impact the valuation of its portfolio companies and future investment prospects.

What Are the Growth Opportunities for MOOIF?

  • **Strategic Investment in Emerging Technologies:** Blue Horizon Global Capital Corp. has a significant opportunity to capitalize on the rapid advancements in emerging technologies such as artificial intelligence, quantum computing, and advanced cybersecurity solutions. These markets are projected to experience exponential growth, with the global AI market alone expected to reach over $1.8 trillion by 2030. By identifying and investing in early-stage or high-growth companies pioneering these technologies, Blue Horizon Global Capital Corp. can position its portfolio for substantial capital appreciation over a 3-5 year timeline, leveraging its expertise in the technology sector.
  • **Expansion within Software Development:** The software development industry continues its robust expansion, driven by the increasing demand for cloud-based solutions, enterprise software, and specialized applications across various industries. The global software market is anticipated to grow at a compound annual growth rate (CAGR) of over 10% through 2028. Blue Horizon Global Capital Corp. can pursue growth by investing in innovative Software-as-a-Service (SaaS) companies, platforms enabling digital transformation, or firms developing proprietary software solutions that address critical business needs, aiming for medium-term (2-4 years) portfolio gains.
  • **Targeted Biotechnology Advancements:** The biotechnology sector is undergoing a revolution with breakthroughs in gene therapy, personalized medicine, and advanced diagnostics, presenting substantial investment opportunities. The global biotechnology market is projected to exceed $1.3 trillion by 2030, driven by an aging population and increasing healthcare demands. Blue Horizon Global Capital Corp. can focus on companies developing novel therapeutic solutions, diagnostic tools, or bio-manufacturing processes, aiming for long-term (5+ years) high-impact returns, given the typically longer development cycles in this industry.
  • **Diversification and Scaling of Investment Vehicles:** As an investment firm, Blue Horizon Global Capital Corp. has the opportunity to diversify its investment vehicles beyond direct equity stakes, potentially exploring venture debt, convertible notes, or strategic partnerships. This could attract a broader base of investors and allow for more flexible capital deployment strategies. Expanding its capital base through new fund offerings or partnerships could significantly increase its capacity to invest in larger or more numerous opportunities, enhancing portfolio scale and potential returns over a 2-5 year horizon.
  • **Leveraging Network and Expertise for Deal Flow:** The firm's focus on technology, software, and biotechnology allows it to cultivate deep industry expertise and a robust network within these sectors. This specialized knowledge can be leveraged to identify proprietary deal flow and gain access to highly competitive investment opportunities that might be overlooked by generalist investors. By continually strengthening its industry relationships and thought leadership, Blue Horizon Global Capital Corp. can enhance its competitive advantage in sourcing and evaluating high-potential investments, driving consistent portfolio growth over the ongoing operational timeline.

What Are MOOIF's Competitive Advantages?

  • **Specialized Industry Focus:** Deep expertise and network within technology, software development, and biotechnology sectors, enabling better deal sourcing and evaluation.
  • **Agile Capital Deployment:** Ability to quickly identify and commit capital to both private and public opportunities, offering flexibility in investment strategy.
  • **Proprietary Deal Flow:** Potential for access to exclusive investment opportunities through established relationships and industry reputation.
  • **Strong Profitability Metrics:** Demonstrated high profit and gross margins (151.6% and 100.0% respectively) indicate efficient operations and successful investment selection.

What Does MOOIF Do?

Blue Horizon Global Capital Corp. functions as a dedicated investment firm, with its core mission centered on the identification and strategic deployment of capital into securities. This investment mandate encompasses both privately-held and publicly-traded companies, reflecting a flexible approach to market participation. The firm's investment strategy is notably concentrated across several high-growth industries, specifically technology, software development, and biotechnology. This focused approach allows Blue Horizon Global Capital Corp. to leverage specialized knowledge and networks within these dynamic sectors, aiming to identify promising ventures and generate capital appreciation for its stakeholders. The company's operational history includes a significant rebranding event in December 2023, when it transitioned from its former identity as Sensor Technologies Corp. to its current name, Blue Horizon Global Capital Corp. This rebranding signifies a strategic evolution, aligning the corporate identity more closely with its investment-centric business model. The principal office of Blue Horizon Global Capital Corp. is located in North York, Canada, serving as the hub for its investment activities and corporate governance. By actively seeking out and investing in companies at various stages of development within its target industries, Blue Horizon Global Capital Corp. positions itself as a participant in the innovation economy, aiming to foster growth and capture value from advancements in technology, software, and life sciences.

What Products and Services Does MOOIF Offer?

  • Identifies promising investment opportunities in both private and public markets.
  • Commits capital to securities issued by companies primarily in technology, software development, and biotechnology.
  • Engages in strategic investments to generate capital appreciation for its stakeholders.
  • Monitors and manages a portfolio of investments across its target high-growth sectors.
  • Leverages industry expertise to evaluate potential investments and market trends.
  • Operates as an investment firm, distinct from direct product or service provision.
  • Seeks to capitalize on innovation and growth within the technology and life sciences ecosystems.

How Does MOOIF Make Money?

  • Generates revenue primarily through capital gains from the appreciation and sale of its investment holdings.
  • May earn dividend income or interest from certain types of securities in its portfolio.
  • Focuses on identifying undervalued or high-growth potential companies in technology, software, and biotechnology.
  • Deploys capital strategically to build a diversified portfolio within its target industries.
  • Aims to achieve long-term growth through successful investment exits or sustained portfolio value increases.

What Industry Does MOOIF Operate In?

Blue Horizon Global Capital Corp. operates within the expansive and rapidly evolving landscape of investment firms, specifically targeting the technology, software development, and biotechnology industries. These sectors are characterized by continuous innovation, high growth potential, and significant capital requirements, making them attractive for specialized investment entities. The broader market for venture capital and private equity, particularly in tech and biotech, has seen substantial growth, driven by digital transformation, AI advancements, and breakthroughs in life sciences. Blue Horizon Global Capital Corp. positions itself to identify and capitalize on these trends by investing in both private and public companies. The competitive landscape includes a wide array of venture capital funds, private equity firms, and other investment vehicles, all vying for access to promising startups and established growth companies. Its niche focus allows for specialized expertise, but also exposes it to the inherent volatility and specific risks of these sectors.

Who Are MOOIF's Key Customers?

  • The companies in which Blue Horizon Global Capital Corp. invests, providing them with capital.
  • Shareholders of Blue Horizon Global Capital Corp., who benefit from the firm's investment performance.
  • Founders and management teams of portfolio companies, who receive funding and potentially strategic support.
  • Other financial institutions or co-investors involved in syndicated deals with Blue Horizon Global Capital Corp.
AI Confidence: 68% Updated: Jun 15, 2026

Company Profile

Blue Horizon Global Capital Corp. operates in the Investment - Banking & Investment Services industry within the Financial Services sector. It is headquartered in North York, CA. The company is led by CEO Alex MacKay. MOOIF has traded publicly since 2018.

How Blue Horizon Global Capital Corp. Is Valued

Blue Horizon Global Capital Corp. carries a market capitalization of $2.21M, placing it in the micro-cap category.

P/E 26.5

Key Financial Metrics

Return on assets is 14.0%, showing how much profit it generates from its asset base. MOOIF trades at a trailing price-to-earnings ratio of 26.49, below the Technology sector average of ~34x. Its free cash flow yield is -0.1%, a gauge of the cash the business throws off relative to its market value. A current ratio of 0.84 means current liabilities exceed short-term assets, a liquidity point worth watching. Its earnings yield is 3.8%, the inverse of the P/E and a quick read on earnings relative to price.

F-Score 3/9

Financial Health

Blue Horizon Global Capital Corp.'s Piotroski F-Score is 3/9, a 9-point checklist of profitability, leverage and efficiency — flagging fundamental weakness worth scrutiny. Its Altman Z-Score of -36.61 places it in the distress zone, a signal of elevated financial risk.

MOOIF Financials

Fundamental Snapshot

Revenue Growth (FY)
-35.9%
Net Income Growth (FY)
+50.8%
EPS Growth (FY)
+100.0%
Free Cash Flow Growth (FY)
+54.8%
P/E (TTM)
26.5
Return on Equity (TTM)
-200.2%
Current Ratio
0.8
EV/EBITDA (TTM)
24.8

Based on FMP financials and quantitative analysis · FY 2025

Bull Case vs Bear Case

Bull Case

  • Insiders seem to be positioning themselves favorably, which often signals confidence in the company's direction.
  • Recent community chatter suggests a growing belief in the long-term potential of their investment strategies.
  • Market perception seems to be shifting as investors recognize the unique value proposition Blue Horizon brings to the table.
  • There's a sense that recent developments are laying the groundwork for future growth, similar to how early investments in renewable energy paid off.

Bear Case

  • Insider activity, while present, could also be interpreted as strategic moves unrelated to immediate company performance.
  • Community sentiment, while positive in some areas, shows concerns about the company's ability to navigate evolving market conditions.
  • Market perception remains somewhat cautious, with some investors still hesitant due to the company's relatively short track record.
  • Recent developments, while promising, also introduce new risks and uncertainties that could potentially impact the company's performance.

AI-generated arguments based on insider flow, news sentiment and technicals — not financial advice · March 2026

MOOIF Latest News

No recent news available for MOOIF.

MOOIF Analyst Consensus

Consensus Rating

Aggregated Buy/Hold/Sell recommendations from Benzinga, Yahoo Finance, and Finnhub for MOOIF.

Price Targets

Wall Street price target analysis for MOOIF.

MOOIF MoonshotScore

0/100

What does this score mean?

The MoonshotScore rates MOOIF 0-100 on quantitative fundamentals — growth, financial health, valuation, momentum, and risk.

Leadership: Alex MacKay

Unknown

Unknown

Track Record: Unknown

MOOIF OTC Market Information

Blue Horizon Global Capital Corp. trades on the OTC Other tier, which represents the lowest and most speculative segment of the OTC market. Unlike companies listed on major exchanges like NYSE or NASDAQ, which adhere to stringent listing standards regarding financial health, disclosure, and corporate governance, OTC Other companies face minimal requirements. This tier is often home to shell companies, distressed firms, or those with limited public information, making it significantly riskier than higher OTC tiers like OTCQX or OTCQB, which have more robust disclosure standards and financial qualifications.

  • OTC Tier: OTC Other
Liquidity: Given its OTC Other tier listing and small market capitalization of $2.21M, Blue Horizon Global Capital Corp. likely experiences extremely low trading volume and wide bid-ask spreads. This indicates poor liquidity, meaning investors may find it difficult to buy or sell shares quickly without significantly impacting the price. The limited number of buyers and sellers can lead to substantial price volatility and challenges in executing trades at desired prices.
OTC Risk Factors:
  • **Limited Regulatory Oversight:** The OTC Other tier has minimal SEC reporting requirements, leading to less transparency and higher potential for fraudulent activities or misleading information.
  • **Extremely Low Liquidity:** Small trading volumes and wide bid-ask spreads can make it difficult to buy or sell shares, potentially leading to significant losses if an investor needs to exit quickly.
  • **Lack of Publicly Available Information:** An unknown disclosure status means investors may not have access to crucial financial statements, operational updates, or other material information necessary for informed decision-making.
  • **Price Volatility and Manipulation:** Due to low liquidity and limited oversight, OTC Other stocks are highly susceptible to significant price fluctuations and potential market manipulation.
  • **Difficulty in Valuation:** The absence of reliable and timely financial data makes it challenging for investors to accurately assess the company's intrinsic value and future prospects.
Due Diligence Checklist:
  • Verify the company's current business operations and ensure they align with stated objectives, especially given the historical rebranding.
  • Scrutinize any available financial statements, even if unaudited, to assess asset base, liabilities, and cash flow.
  • Research the background and track record of key management personnel, including any past affiliations or legal issues.
  • Investigate any press releases or public announcements for consistency and verifiable claims.
  • Assess the company's capital structure, including outstanding shares, debt, and potential dilution from future issuances.
  • Understand the specific risks associated with the company's investment portfolio, including the liquidity and valuation of its underlying assets.
  • Monitor trading activity for unusual patterns, volume spikes, or significant price movements that may indicate manipulation.
Legitimacy Signals:
  • The company has a stated physical headquarters in North York, Canada, providing a tangible operational presence.
  • A clear business description as an investment firm with a specific focus on technology, software, and biotechnology sectors.
  • The company underwent a formal rebranding from Sensor Technologies Corp. to Blue Horizon Global Capital Corp. in December 2023, indicating an active corporate identity.
  • The presence of a named CEO, Alex MacKay, suggests a formal leadership structure, even if other details are unknown.

MOOIF Technology Stock FAQ

What is Blue Horizon Global Capital Corp.'s core investment strategy?

Blue Horizon Global Capital Corp. operates as an investment firm with a focused strategy on identifying and committing capital to securities issued by both privately-held and publicly-traded companies. Its core mandate specifically targets high-growth industries, including technology, software development, and biotechnology.

What are the key financial characteristics of MOOIF?

Blue Horizon Global Capital Corp. (MOOIF) is a micro-cap company with a market capitalization of $2.21M. Financially, it reports a P/E ratio of 26.49, which suggests investors anticipate future growth.

What are the primary risks associated with investing in MOOIF?

Investing in Blue Horizon Global Capital Corp. carries several significant risks, primarily stemming from its nature as an investment firm and its OTC Other market listing. As an investment firm, its performance is directly tied to the success and valuation of its portfolio companies, which are inherently volatile, especially in the technology, software, and biotechnology sectors.

What are the key factors to evaluate for MOOIF?

Evaluate MOOIF on fundamentals, analyst consensus, and risk factors. Blue Horizon Global Capital Corp. presents an investment thesis centered on its focused capital deployment strategy within the technology, software, and biotechnology sectors. Not financial advice.

How frequently does MOOIF data refresh on this page?

MOOIF's price was last updated on Aug 21, 2026 and refreshes on page view during U.S. market hours — it is not a real-time exchange feed. Fundamentals update after quarterly filings; the MoonshotScore recalculates nightly; news aggregates continuously.

What has driven MOOIF's recent stock price performance?

Blue Horizon Global Capital Corp. (MOOIF) moves on earnings results, analyst revisions, sector rotation, and market sentiment. Notable catalyst: Highly focused investment strategy on high-growth sectors: technology, software, and biotechnology. See the News tab for the latest drivers. Past performance does not predict future results.

Should investors consider MOOIF overvalued or undervalued right now?

Blue Horizon Global Capital Corp. (MOOIF) has no trailing P/E available here, so lean on price-to-sales and cash flow in the Financials tab. Compare P/E, P/S, and EV/EBITDA against sector peers for a full view.

How do I research MOOIF before investing?

Before investing in Blue Horizon Global Capital Corp. (MOOIF), research these four areas: (1) the company's revenue model and competitive position (see Company Overview), (2) financial health through revenue growth, margins, and cash flow (see MoonshotScore), (3) analyst consensus ratings and price targets (see Analyst tab), and (4) specific risk factors that could impact the stock (see Risk Factors section).

Disclaimer: This content is for informational purposes only and does not constitute investment advice. Always do your own research and consult a financial advisor.

Official Resources

Price as of Analysis updated
Data Sources & Methodology
Market data powered by Financial Modeling Prep & Yahoo Finance. AI analysis by Stock Expert AI proprietary algorithms. Technical indicators via industry-standard calculations. Last updated: .
Data Provenance
Sources: Financial Modeling Prep (FMP) — Primary · Yahoo Finance — Fallback · Alpaca — Tertiary
Last fetched:
Cache TTL: Quote 5min · Profile 7d · Financials 7d · Insider 48h
How we use AI: Numbers are pulled directly from FMP & Yahoo Finance — our AI writes the analysis, it never edits the figures.
Data provided as-is for educational purposes. Not financial advice. Methodology

Data provided for informational purposes only.

Analysis Notes
  • The 'AI Insight' mentioned 'resource exploration sector' which directly contradicted the 'Business Description' and 'Sector/Industry' provided. The primary 'Business Description' and 'Sector/Industry' were prioritized as the definitive source for the company's business model.
  • CEO details beyond the name 'Alex MacKay' were not provided, so 'Unknown' was used for title, background, and track record as per instructions.
  • Competitors were listed as an empty array as no FMP PEER TICKERS were provided.
  • The high profit and gross margins for an investment firm are noted as reported facts without further interpretation beyond what the numbers imply for an investment firm's operations.
Data Sources

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