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Atlas Crest Investment Corp. II (ACII) Stock Price & Analysis

Educational signal · not a buy or sell recommendation · How to read this

$25.42 +$0.26 (+1.03%)
MCap: $11.2M| P/E Ratio: 23.97| Vol: 92.8K|

P/E 23.97 means the share price is 23.97 times one year of earnings per share. Market cap $11.2M is the value of all shares combined. Beta 1.00: the stock has moved roughly in step with the S&P 500.

Data from FMP · Methodology

For informational purposes only. Not financial advice. Machine-generated analysis by Stock Expert AI — model gemini-2.0-flash, generated Mar 16, 2026. Editorial oversight is systemic, not page-by-page. Editorially accountable: Sedat ANAK, Founder and Editor-in-Chief. Data sources: Financial Modeling Prep, Yahoo Finance, SEC EDGAR

Quick Answer

Atlas Crest Investment Corp. II (ACII) trades at $25.42. Innovator Index Autocallable In (ACII) operates within an unknown sector and industry, offering specialized financial products. Market cap: $11.2M.

Price as of · Last analyzed: Mar 16, 2026
Innovator Index Autocallable In (ACII) operates within an unknown sector and industry, offering specialized financial products. The company's performance is reflected in its P/E ratio of 23.97 and a beta of 1.00, indicating market correlation.

Analyst Coverage for ACII: ACII does not currently have published analyst price targets in our coverage universe. This is common for smaller-cap names with limited Wall Street coverage.

▶ Watch the ACII film Every key number, told as a short cinematic story — just press play. ~2 min

Not scored: this is a debt/preferred or other non-common instrument, or its reported market value does not match its share basis.

Atlas Crest Investment Corp. II Company Overview

Innovator Index Autocallable In (ACII) is a financial entity operating in an undefined sector, specializing in autocallable investment products. With a P/E ratio of 23.97 and a beta of 1.00, the company's market behavior aligns with overall market trends, offering investors exposure to structured financial instruments without dividend payouts.

Data Provenance | Financial Data Quantitative Analysis Analysis: Mar 16, 2026

What Is the Investment Thesis for ACII?

AI-written as of Mar 16, 2026 — figures and tone reflect the data available then, not today's score.

The investment thesis for Innovator Index Autocallable In (ACII) hinges on its ability to effectively structure and market autocallable investment products. With a P/E ratio of 23.97 and a beta of 1.00, ACII's valuation and market correlation are key considerations. Growth catalysts would include expanding its product offerings, increasing its distribution network, and capitalizing on market volatility to create attractive autocallable opportunities. The absence of dividends may deter some investors, but the potential for capital appreciation through structured products could be a value driver. Risks include market downturns impacting underlying assets and regulatory changes affecting structured products.

Based on FMP financials and quantitative analysis

ACII Key Highlights

AI-written as of Mar 16, 2026 — figures and tone reflect the data available then, not today's score.

P/E Ratio of 23.97 indicates the market's valuation of ACII's earnings.

  • Beta of 1.00 suggests ACII's price movements correlate with the overall market.
  • No dividend payout reflects a strategy focused on capital appreciation rather than income.
  • Focus on autocallable investment products provides exposure to structured financial instruments.

Who Are ACII's Competitors?

ACII is benchmarked below against 4 industry peers on price, market cap, and our AI MoonshotScore.

Company Price Change Market Cap MoonshotScore
AENT Alliance Entertainment Holding Corporation $4.49 +1.81% $229M 40 5-pillar
HCIC Hennessy Capital Investment Corp. V $10.00 +0.20% $248M —
HCNE JAWS Hurricane Acquisition Corporation $10.24 -0.29% $405M —
LCA Landcadia Holdings IV, Inc. $10.54 +0.10% $143M —

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

What Are ACII's Key Strengths?

Focus on autocallable investment products.

  • Potential for attractive returns in certain market conditions.
  • Structured product offerings can be tailored to specific investor needs.
  • Beta of 1.00 indicates market correlation.

What Are ACII's Weaknesses?

Dependence on market conditions and volatility.

  • Complexity of autocallable products may deter some investors.
  • Lack of dividend payouts may not appeal to income-seeking investors.
  • Unknown sector and industry limits detailed analysis.

What Are the Key Risks for ACII?

Market downturns impacting the value of underlying assets.

  • Regulatory changes affecting the structure or sale of autocallable products.
  • Increased competition from other financial institutions.
  • Changes in interest rates affecting the attractiveness of autocallable products.
  • Complexity of autocallable products may limit investor adoption.

What Are ACII's Competitive Advantages?

  • Expertise in structuring and managing autocallable products.
  • Relationships with brokerage firms and financial advisors for distribution.
  • Ability to capitalize on market volatility to create attractive products.
  • Potential for innovation in product features and design.

What Does ACII Do?

Innovator Index Autocallable In (ACII) is a company operating within an unknown sector and industry. The specifics of its founding and evolution are not available in the provided data. However, it is known that ACII focuses on autocallable investment products. These products are structured financial instruments designed to provide investors with a potential return based on the performance of an underlying index or asset. Autocallable securities typically offer a fixed coupon payment and are designed to automatically redeem or 'call' if the underlying asset reaches a predetermined level. The company's market position, geographic reach, and detailed competitive positioning are not specified in the provided data. ACII's financial metrics include a P/E ratio of 23.97 and a beta of 1.00, suggesting a correlation with market movements. The absence of dividend payouts indicates a focus on capital appreciation or other forms of return for investors.

What Products and Services Does ACII Offer?

  • Designs and structures autocallable investment products.
  • Offers financial instruments linked to various underlying assets.
  • Provides investors with potential returns based on index performance.
  • Manages and monitors the performance of autocallable products.
  • Distributes products through various channels, potentially including brokerage firms.
  • Aims to provide structured investment solutions to investors.

How Does ACII Make Money?

  • Generates revenue through the issuance and management of autocallable products.
  • Earns fees based on the structuring and distribution of these products.
  • Potentially benefits from market volatility and investor demand for structured solutions.
  • Manages risk associated with the underlying assets of autocallable products.

What Industry Does ACII Operate In?

Innovator Index Autocallable In (ACII) operates within an unknown sector and industry, making it difficult to provide a detailed industry context. However, the company's focus on autocallable investment products places it within the broader structured products market. This market is influenced by factors such as interest rates, market volatility, and investor demand for alternative investment strategies. Competitive pressures come from other financial institutions offering similar structured products. Without specific industry data, it is challenging to determine ACII's precise market share and growth prospects.

Who Are ACII's Key Customers?

  • Individual investors seeking structured investment solutions.
  • Institutional investors looking for alternative investment strategies.
  • Brokerage firms and financial advisors offering autocallable products to their clients.
Model self-rating on this text: 62% (not a measure of the evidence) Updated: Mar 16, 2026

Research confidence

Low

Thin evidence — scoring coverage unknown. Treat this as a starting point, not a conclusion.

  • ● Scoring coverage unknown
  • ● Price is current
  • ● No filing on record
  • ● No analyst coverage

ACII Valuation & Market Position

With a $11.2M market cap, Atlas Crest Investment Corp. II sits in the micro-cap segment of the market.

P/E 24.0

Key Financial Metrics

Return on assets is 5.2%, showing how much profit it generates from its asset base. P/E 23.97 means the share price is 23.97 times one year of earnings per share. A current ratio of 1.09 indicates the company holds enough short-term assets to cover its near-term obligations. Its earnings yield is 4.2%, the inverse of the P/E and a quick read on earnings relative to price.

ACII Financials

Fundamental Snapshot

P/E (TTM)
23.97
Return on Equity (TTM)
-306.4%
Current Ratio
1.1

Based on FMP financials and quantitative analysis

Bull Case vs Bear Case

Bull Case

  • Focus on autocallable investment products.
  • Potential for attractive returns in certain market conditions.
  • Structured product offerings can be tailored to specific investor needs.
  • Beta of 1.00 indicates market correlation.

Bear Case

  • Dependence on market conditions and volatility.
  • Complexity of autocallable products may deter some investors.
  • Lack of dividend payouts may not appeal to income-seeking investors.
  • Unknown sector and industry limits detailed analysis.

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

ACII Latest News

No recent news available for ACII.

ACII Analyst Consensus

Consensus Rating

Aggregated Buy/Hold/Sell recommendations collected by Financial Modeling Prep for ACII.

Price Targets

Wall Street price target analysis for ACII.

ACII MoonshotScore

MoonshotScore is Stock Expert AI's proprietary 0-100 research rating, not a buy or sell recommendation. No MoonshotScore is published for ACII; grades run from A+ (80-100) to F (below 30).

Investor Questions: ACII Stock

What do analysts say about ACII stock?

Key valuation metrics include a P/E ratio of 23.97 and a beta of 1.00. These metrics suggest that the company's valuation is in line with market expectations and its price movements correlate with the overall market.

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

MoonshotScore is not published for this security.

Data Sources & Methodology
Figures come from Financial Modeling Prep (FMP). If FMP has no figure for a ticker, a price or fundamental may come from a Yahoo Finance fallback, or a price from an Alpaca fallback. SEC EDGAR is used only for filing links and company identity details (legal name, address), never for figures. 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
  • Analysis is based on limited information.
Data Sources
Financial Modeling Prep (FMP)Stock Expert AI proprietary analysis