Origin Investment Corp I Ordinary Shares (ORIQ)
Singapore, SG
Origin Investment Corp I is a Special Purpose Acquisition Company (SPAC), established in 2024 under Cayman Islands jurisdiction, and headquartered in Singapore. Its core mission is to achieve a merger or acquisition with one or more enterprises. The company primarily seeks out potential targets within diverse sectors such as financial services, technology, life sciences (biotechnology and pharmaceuticals), high-performance materials, and renewable energy, with a particular strategic focus on businesses operating in Asia.
No mergers or acquisitions recorded for this company.
| Indicator | 1D | 1W | 2W | 3W | 1M |
|---|
Day Score & sub-scores
Statistical fingerprint & regime detail
Conditional historical analysis
Customize analysis (advanced)
| 1D | 5D | 1M | 3M | 6M | YTD | 1Y | 3Y | 5Y | 10Y | Max |
|---|---|---|---|---|---|---|---|---|---|---|
| +0.10% | +0.19% | +0.59% | +0.78% | +1.18% | +1.78% | +3.00% | +3.00% | +3.00% | +3.00% | +3.00% |
Revenue flow
Revenue by geography
Revenue by segment
Revenue composition
By product
By geography
Income Statement
Balance Sheet
Cash Flow Statement
Key Metrics
Financial Ratios
Employees
Financial Growth (CAGR)
Market Data
DCF figures are point estimates: small changes in growth or discount-rate assumptions move them materially. Read them as a reference, not a precise target.
-
Revenue growth Shell Companies: +20.6%—
-
EPS growth Shell Companies: -12.3%+16,350.0% ★ Q1'26: +6,766.7% (vs Q1'25)
-
FCF margin FCF growth · Shell Companies: +8.7%—
-
EBIT margin Shell Companies: +0.0%—
-
ROIC Shell Companies: +0.0%— Q1'26: +0.0% (vs Q1'25)
-
Share dilution Shell Companies: -10.2%-55.7% ★ Q1'26: -12.5% (vs Q1'25)
-
Debt / EBITDA Net debt/EBITDA · Shell Companies: 0.00×—
* These projections are based on analyst consensus estimates and user-defined valuation multiples. This table is for informational purposes only and does not constitute a recommendation to buy or sell any security. Past performance is not indicative of future results.
| Date | Rating | Overall | DCF | ROE | ROA | D/E | P/E | P/B |
|---|---|---|---|---|---|---|---|---|
| 2026-05-22 | B- | 3/5 | 3/5 | 5/5 | 4/5 | 1/5 | 1/5 | 1/5 |
| 2026-05-19 | B- | 3/5 | 3/5 | 5/5 | 4/5 | 1/5 | 1/5 | 1/5 |
| 2026-05-15 | B- | 3/5 | 3/5 | 5/5 | 4/5 | 1/5 | 1/5 | 1/5 |
| 2026-05-14 | B- | 2/5 | 3/5 | 5/5 | 3/5 | 1/5 | 1/5 | 1/5 |
| 2026-05-13 | C+ | 2/5 | 2/5 | 5/5 | 3/5 | 1/5 | 1/5 | 1/5 |
| 2026-05-12 | C+ | 2/5 | 2/5 | 5/5 | 3/5 | 1/5 | 1/5 | 1/5 |
| 2026-05-11 | C+ | 2/5 | 2/5 | 5/5 | 3/5 | 1/5 | 1/5 | 1/5 |
| 2026-05-08 | C+ | 2/5 | 2/5 | 5/5 | 3/5 | 1/5 | 1/5 | 1/5 |
| 2026-05-07 | C+ | 2/5 | 2/5 | 5/5 | 3/5 | 1/5 | 1/5 | 1/5 |
| 2026-05-04 | B- | 2/5 | 2/5 | 5/5 | 4/5 | 1/5 | 1/5 | 1/5 |
| 2026-04-24 | B- | 3/5 | 3/5 | 5/5 | 4/5 | 1/5 | 1/5 | 1/5 |
| 2026-04-23 | B- | 3/5 | 3/5 | 5/5 | 4/5 | 1/5 | 1/5 | 1/5 |
| 2026-04-21 | B- | 3/5 | 3/5 | 5/5 | 4/5 | 1/5 | 1/5 | 1/5 |
| 2026-04-20 | B- | 3/5 | 3/5 | 5/5 | 4/5 | 1/5 | 1/5 | 1/5 |
Owner Earnings
Owner's Earnings history not available.
Ownership Overview
No beneficial ownership filings recorded.
Institutional Activity (13F)
| # | Investor | Shares / Δ | Mkt value / Δ | Own% / Δ | Weight% / Δ | Avg px / Perf. | Hold / Status |
|---|---|---|---|---|---|---|---|
| 1 | KARPUS MANAGEMENT, INC. | 819.4K +390.3K (+91.0%) | 8.28M +4.0M (+92.1%) | 12.41% +5.911 pp | 0.22% +0.085 pp | USD10.08 +0.4% | 2 qtrs — |
| 2 | HUDSON BAY CAPITAL MANAGEMENT LP | 500.0K +— (+0.0%) | 5.07M +50.0K (+1.0%) | 7.57% +0.000 pp | 0.02% +0.000 pp | USD10.05 +0.7% | 2 qtrs — |
| 3 | WOLVERINE ASSET MANAGEMENT LLC | 476.1K +39.7K (+9.1%) | 4.83M +441.7K (+10.1%) | 7.21% +0.601 pp | 0.04% +0.006 pp | USD10.06 +0.6% | 2 qtrs — |
| 4 | GLAZER CAPITAL, LLC | 475.0K -18.3K (-3.7%) | 4.80M -155.0K (-3.1%) | 7.19% -0.277 pp | 0.13% -0.040 pp | USD10.05 +0.7% | 2 qtrs — |
| 5 | AQR ARBITRAGE LLC | 436.7K +— (+0.0%) | 4.43M +43.7K (+1.0%) | 6.61% +0.000 pp | 0.09% -0.018 pp | USD10.05 +0.7% | 2 qtrs — |
| 6 | WESTCHESTER CAPITAL MANAGEMENT, LLC | 425.0K +— (+0.0%) | 4.31M +42.5K (+1.0%) | 6.44% +0.000 pp | 0.18% -0.014 pp | USD10.05 +0.7% | 2 qtrs — |
| 7 | ARISTEIA CAPITAL LLC | 394.6K +— (+0.0%) | 3.99M +27.6K (+0.7%) | 5.98% +0.000 pp | 0.09% -0.006 pp | USD10.05 +0.7% | 2 qtrs — |
| 8 | SHAOLIN CAPITAL MANAGEMENT LLC | 350.0K -50.0K (-12.5%) | 3.54M -478.0K (-11.9%) | 5.30% -0.757 pp | 0.11% -0.064 pp | USD10.05 +0.7% | 2 qtrs — |
| 9 | CLEAR STREET GROUP INC. | 335.3K -93.7K (-21.8%) | 3.39M -918.7K (-21.3%) | 5.08% -1.420 pp | 0.01% -0.002 pp | USD10.05 +0.7% | 2 qtrs — |
| 10 | MANGROVE PARTNERS | 295.9K +— (+0.0%) | 2.99M +20.7K (+0.7%) | 4.48% +0.000 pp | 0.24% +0.024 pp | USD10.05 +0.7% | 2 qtrs — |
| 11 | PERISCOPE CAPITAL INC. | 289.0K -111.0K (-27.8%) | 2.93M -1.1M (-27.2%) | 4.38% -1.681 pp | 0.33% -0.305 pp | USD10.05 +0.7% | 2 qtrs — |
| 12 | CABLE CAR CAPITAL LLC | 250.7K +— (+0.0%) | 2.54M +17.5K (+0.7%) | 3.80% +0.000 pp | 0.08% -0.995 pp | USD10.05 +0.7% | 2 qtrs — |
| 13 | HEIGHTS CAPITAL MANAGEMENT, INC | 249.9K +249.9K (+100.0%) | 2.53M +2.5M (+100.0%) | 3.78% +3.785 pp | 0.91% +0.909 pp | USD10.12 +0.0% | 1 qtrs NEW |
| 14 | TWO SIGMA INVESTMENTS, LP | 217.5K +— (+0.0%) | 2.20M +13.1K (+0.6%) | 3.29% +0.000 pp | 0.00% 0.000 pp | USD10.05 +0.7% | 2 qtrs — |
| 15 | MIZUHO SECURITIES USA LLC | 210.6K -110.8K (-34.5%) | 2.12M -737.5K (-25.8%) | 3.19% -1.679 pp | 0.04% -0.023 pp | USD10.05 +0.7% | 2 qtrs — |
| 16 | BNP PARIBAS ARBITRAGE, SNC | 138.3K +— (+0.0%) | 1.40M +9.7K (+0.7%) | 2.10% +0.000 pp | 0.00% 0.000 pp | USD10.05 +0.7% | 2 qtrs — |
| 17 | TORONTO DOMINION BANK | 86.0K +86.0K (+100.0%) | 870.3K +870.3K (+100.0%) | 1.30% +1.302 pp | 0.00% +0.001 pp | USD10.12 +0.0% | 1 qtrs NEW |
| 18 | WARBERG ASSET MANAGEMENT LLC | 83.6K +— (+0.0%) | 846.6K +6.3K (+0.7%) | 1.27% +0.000 pp | 0.10% -0.032 pp | USD10.05 +0.7% | 2 qtrs — |
| 19 | DAKOTA WEALTH MANAGEMENT | 81.6K +7.4K (+10.0%) | 824.5K +79.3K (+10.6%) | 1.24% +0.112 pp | 0.01% 0.000 pp | USD10.06 +0.6% | 2 qtrs — |
| 20 | SCHONFELD STRATEGIC ADVISORS LLC | 43.7K +43.7K (+100.0%) | 442.8K +442.8K (+100.0%) | 0.66% +0.662 pp | 0.00% +0.002 pp | USD10.12 +0.0% | 1 qtrs NEW |
| 21 | 683 CAPITAL MANAGEMENT, LLC | 30.0K +— (+0.0%) | 303.6K +2.1K (+0.7%) | 0.45% +0.000 pp | 0.01% -0.003 pp | USD10.05 +0.7% | 2 qtrs — |
| 22 | GEODE CAPITAL MANAGEMENT, LLC | 25.8K +— (+0.0%) | 261.8K +2.6K (+1.0%) | 0.39% +0.000 pp | 0.00% +0.000 pp | USD10.05 +0.7% | 2 qtrs — |
| 23 | CENTIVA CAPITAL, LP | 25.0K +— (+0.0%) | 253.5K +2.5K (+1.0%) | 0.38% +0.000 pp | 0.00% 0.000 pp | USD10.05 +0.7% | 2 qtrs — |
| 24 | WELLSPRING FINANCIAL ADVISORS, LLC | 18.9K +18.9K (+100.0%) | 191.1K +191.1K (+100.0%) | 0.29% +0.286 pp | 0.02% +0.015 pp | USD10.12 +0.0% | 1 qtrs NEW |
| 25 | RADCLIFFE CAPITAL MANAGEMENT, L.P. | 10.2K +10.2K (+100.0%) | 103.6K +103.6K (+100.0%) | 0.16% +0.155 pp | 0.01% +0.006 pp | USD10.12 +0.0% | 1 qtrs NEW |
| 26 | MORGAN STANLEY | 23.00 +23.0 (+100.0%) | 233.00 +233.0 (+100.0%) | 0.00% +0.000 pp | 0.00% +0.000 pp | USD10.09 +0.3% | 1 qtrs NEW |
| 27 | STONEX GROUP INC. | — -109.1K (-100.0%) | — -1.1M (-100.0%) | 0.00% -1.653 pp | 0.00% -0.048 pp | USD— | 2 qtrs SOLD |
ETF Ownership
This company is not held by any ETF in our universe.
Insider Activity
No insider activity available.
Insider history not available.
No recent insider transactions.
Executive team
Executive compensation
Executive compensation not available.
No CEO compensation history available.
Proxy statements
No proxy statements available for this company yet.
Recent SEC filings
Executive team
| Name | Title | Compensation | Gender |
|---|---|---|---|
| Yung-Hsi Chang | Interim CFO, CEO & Director | — | male |
No Senate trading activity found for this company.
No House trading activity found for this company.
Share your view on this stock and instantly see how the community has voted over the last 6 months.
Community Opinion for ORIQ
Short-term intention
Target Price Distribution
These are community opinions and do not constitute buy or sell advice to act on. The results shown are based on aggregated opinions and are not an investment recommendation, nor do they intend to influence any investment decision.

MSCI World Index (MSC)
NASDAQ Composite (NASDAQ)
FTSE China A50 Index (FGI)
STOXX Europe 600 (SIX)
Nikkei 300 (OSA)
NIFTY 50 (NSE)
DAX Performance Index (XETRA)
FTSE 100 (FGI)
CAC 40 (EURONEXT)
