JAB Acquisition I (ATLQ)


Market Price (9/14/2026): $9.98 | Market Cap: $-Sector: Financials | Industry: Multi-Sector Holdings

JAB Acquisition I (ATLQ)


Market Price (9/14/2026): $9.98
Market Cap: $-
Sector: Financials
Industry: Multi-Sector Holdings

Investment Highlights Why It Matters Detailed financial logic regarding cash flow yields vs trend-riding momentum.

0

Low stock price volatility
Vol 12M is 1.8%

Megatrend and thematic drivers
Megatrends include Pet Economy. Themes include Veterinary Services & Pet Health, Pet Wellness & Nutrition, and Premium Pet Products & Experiences.

Trading close to highs
Dist 52W High is -0.1%, Dist 3Y High is -0.1%

Weak multi-year price returns
2Y Excs Rtn is -41%, 3Y Excs Rtn is -71%

Key risks
ATLQ key risks include [1] the potential failure to identify and complete an initial business combination within the required timeframe.

0 Low stock price volatility
Vol 12M is 1.8%
1 Megatrend and thematic drivers
Megatrends include Pet Economy. Themes include Veterinary Services & Pet Health, Pet Wellness & Nutrition, and Premium Pet Products & Experiences.
2 Trading close to highs
Dist 52W High is -0.1%, Dist 3Y High is -0.1%
3 Weak multi-year price returns
2Y Excs Rtn is -41%, 3Y Excs Rtn is -71%
4 Key risks
ATLQ key risks include [1] the potential failure to identify and complete an initial business combination within the required timeframe.

Valuation & Metrics

Price Chart

Why The Stock Moved

Qualitative Assessment

AI Analysis | Feedback

Updated on 9/1/2026

JAB Acquisition I (ATLQ) stock has remained largely at the same level since it went public on 8/31/2026 because of the following key factors:

1. JAB Acquisition I (ATLQ) is a Special Purpose Acquisition Company (SPAC) with no current business operations or earnings.

As a blank-check company, its primary purpose is to raise capital through an initial public offering (IPO) to acquire or merge with an existing private company. Until such a business combination is announced or completed, SPACs typically lack fundamental financial metrics (like revenue or earnings) that would drive significant stock price movements.

2. The stock has traded consistently around its initial public offering (IPO) price.

JAB Acquisition I priced its units at $10.00 each in June 2026. On August 31, 2026, its first day of trading under the ATLQ ticker for its Class A ordinary shares, the stock opened at $9.94, reached a high of $9.98, a low of $9.94, and closed at $9.96. This narrow trading range near the IPO price is a common characteristic of SPACs before a de-SPAC transaction or acquisition target is identified.

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Updated on 9/1/2026

JAB Acquisition I (ATLQ) stock has remained largely at the same level since it went public on 8/31/2026 because of the following key factors:

1. JAB Acquisition I (ATLQ) is a Special Purpose Acquisition Company (SPAC) with no current business operations or earnings.

As a blank-check company, its primary purpose is to raise capital through an initial public offering (IPO) to acquire or merge with an existing private company. Until such a business combination is announced or completed, SPACs typically lack fundamental financial metrics (like revenue or earnings) that would drive significant stock price movements.

2. The stock has traded consistently around its initial public offering (IPO) price.

JAB Acquisition I priced its units at $10.00 each in June 2026. On August 31, 2026, its first day of trading under the ATLQ ticker for its Class A ordinary shares, the stock opened at $9.94, reached a high of $9.98, a low of $9.94, and closed at $9.96. This narrow trading range near the IPO price is a common characteristic of SPACs before a de-SPAC transaction or acquisition target is identified.

3. There has been no announcement of a definitive business combination or significant company-specific news.

The stock's stability reflects the absence of major catalysts. Without the announcement of an acquisition target or other substantial corporate developments, there is no new information to significantly alter investor perception of the company's future value, which would typically cause its stock price to deviate from its initial offering level.

4. Trading volume has been relatively low, contributing to price stability.

On August 31, 2026, the trading volume for ATLQ was 7,251 shares. This limited trading activity is typical for a newly listed SPAC that has not yet identified an acquisition target. Low trading volume often correlates with stable prices as there isn't substantial buying or selling pressure to move the stock significantly in either direction.

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Stock Movement Drivers

Fundamental Drivers

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Market Drivers

5/31/2026 to 9/13/2026
ReturnCorrelation
ATLQ  
Market (SPY)1.0%-45.6%
Sector (XLF)11.0%-28.3%

Fundamental Drivers

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Market Drivers

2/28/2026 to 9/13/2026
ReturnCorrelation
ATLQ  
Market (SPY)11.7%-45.6%
Sector (XLF)11.9%-28.3%

Fundamental Drivers

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Market Drivers

8/31/2025 to 9/13/2026
ReturnCorrelation
ATLQ  
Market (SPY)19.5%-45.6%
Sector (XLF)7.3%-28.3%

Fundamental Drivers

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Market Drivers

8/31/2023 to 9/13/2026
ReturnCorrelation
ATLQ  
Market (SPY)75.7%-45.6%
Sector (XLF)74.0%-28.3%

Return vs. Risk

Price Returns Compared

 202120222023202420252026Total [1]
Returns
ATLQ Return-----0%0%
Peers Return     1%1%
S&P 500 Return27%-19%24%23%16%11%102%

Monthly Win Rates [3]
ATLQ Win Rate-----50% 
Peers Win Rate     57% 
S&P 500 Win Rate75%42%67%75%67%44% 

Max Drawdowns [4]
ATLQ Max Drawdown------ 
Peers Max Drawdown       
S&P 500 Max Drawdown-5%-25%-10%-8%-19%-9% 


[1] Cumulative total returns since the beginning of 2021
[2] Peers: AAC, AESP, ALPX, BCCQ, BID.
[3] Win Rate = % of calendar months in which monthly returns were positive
[4] Max drawdown represents maximum peak-to-trough decline within a year
[5] 2026 data is for the year up to 9/11/2026 (YTD)

How Low Can It Go

ATLQ has limited trading history. Below is the Financials sector ETF (XLF) in its place.

EventXLFS&P 500
2025 US Tariff Shock
  % Loss-15.5%-18.8%
  % Gain to Breakeven18.4%23.1%
  Time to Breakeven80 days79 days
Summer-Fall 2023 Five Percent Yield Shock
  % Loss-10.7%-9.5%
  % Gain to Breakeven12.0%10.5%
  Time to Breakeven26 days24 days
2023 SVB Regional Banking Crisis
  % Loss-16.1%-6.7%
  % Gain to Breakeven19.1%7.1%
  Time to Breakeven270 days31 days
2022 Inflation Shock & Fed Tightening
  % Loss-22.3%-24.5%
  % Gain to Breakeven28.6%32.4%
  Time to Breakeven467 days427 days
2020 COVID-19 Crash
  % Loss-42.8%-33.7%
  % Gain to Breakeven74.8%50.9%
  Time to Breakeven289 days140 days
Q4 2018 Fed Policy Error / Growth Scare
  % Loss-19.7%-19.2%
  % Gain to Breakeven24.5%23.8%
  Time to Breakeven123 days105 days

Compare to AAC, AESP, ALPX, BCCQ, BID

In The Past

State Street Financial Select Sector SPDR ETF's stock fell -15.5% during the 2025 US Tariff Shock. Such a loss loss requires a 18.4% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

ATLQ has limited trading history. Below is the Financials sector ETF (XLF) in its place.

EventXLFS&P 500
2022 Inflation Shock & Fed Tightening
  % Loss-22.3%-24.5%
  % Gain to Breakeven28.6%32.4%
  Time to Breakeven467 days427 days
2020 COVID-19 Crash
  % Loss-42.8%-33.7%
  % Gain to Breakeven74.8%50.9%
  Time to Breakeven289 days140 days
2015-2016 China Devaluation / Global Growth Scare
  % Loss-21.4%-12.2%
  % Gain to Breakeven27.3%13.9%
  Time to Breakeven272 days62 days
2011 US Debt Ceiling Crisis & European Contagion
  % Loss-26.1%-17.9%
  % Gain to Breakeven35.3%21.8%
  Time to Breakeven162 days123 days
2008-2009 Global Financial Crisis
  % Loss-78.3%-53.4%
  % Gain to Breakeven359.8%114.4%
  Time to Breakeven2329 days1085 days

Compare to AAC, AESP, ALPX, BCCQ, BID

In The Past

State Street Financial Select Sector SPDR ETF's stock fell -15.5% during the 2025 US Tariff Shock. Such a loss loss requires a 18.4% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

About JAB Acquisition I (ATLQ)

JAB Acquisition I (ATLQ) is a blank check company, also known as a Special Purpose Acquisition Company (SPAC), recently incorporated to identify and acquire one or more businesses. Its sole purpose is to execute an "initial business combination," which could involve a merger, asset acquisition, share purchase, or similar transaction. Currently, the company has not yet identified a specific target for acquisition, nor has it engaged in any preliminary discussions.

The company plans to pursue acquisition opportunities across various industries, sectors, or geographical locations. However, it intends to leverage its management team's experience by focusing on businesses that complement their background, aiming to capitalize on their ability to identify and acquire a suitable target. JAB Acquisition I typically seeks businesses with an aggregate enterprise value of $200 million or greater, though it retains flexibility to pursue smaller targets if deemed beneficial for its shareholders.

As a SPAC, JAB Acquisition I does not offer traditional products or services. Instead, its "offering" is the potential for investors to participate in the growth of a future, as-yet-undetermined private company that it acquires and brings to the public market. Its primary "customers" are its shareholders, who invest with the expectation that the management team will successfully identify and complete a value-enhancing business combination, ultimately transforming JAB Acquisition I into an operating company.

AI Analysis | Feedback

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AI Analysis | Feedback

  • Business Combination Facilitation: JAB Acquisition I is a blank check company formed for the sole purpose of effecting a merger, amalgamation, share exchange, asset acquisition, or similar business combination with one or more businesses.

AI Analysis | Feedback

JAB Acquisition I (ATLQ) is a newly incorporated blank check company, also known as a Special Purpose Acquisition Company (SPAC). Its primary purpose is to effect a merger, amalgamation, share exchange, asset acquisition, share purchase, reorganization, or similar business combination with one or more businesses.

As a blank check company, JAB Acquisition I does not currently engage in any commercial operations involving the sale of products or services. Therefore, it does not have any major customers.

AI Analysis | Feedback

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AI Analysis | Feedback

Joshua Jagid, Chief Executive Officer Mr. Joshua Jagid serves as the Chief Executive Officer and Chairman of the Board of JAB Acquisition Corp I. He is also the Co-Founder, Chairman, and Chief Executive Officer of Member's Edge, LLC. Jack Bressman, Chief Financial Officer Mr. Jack Bressman serves as the Chief Financial Officer, Chief Operating Officer, Secretary, and Director of JAB Acquisition Corp I.

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Key Risks to the Business

  1. Inability to complete an initial business combination: As a newly incorporated blank check company, JAB Acquisition I's primary purpose is to effect a business combination. The company has not yet selected any specific business combination target, and there is no guarantee that it will be able to identify or successfully complete a business combination within the required timeframe. If it fails to do so, the company may be forced to liquidate, which would result in shareholders receiving only their pro rata portion of the funds held in the trust account, and potentially losing the opportunity for investment growth.

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Share Issuance

  • JAB Acquisition I announced the pricing of its Initial Public Offering (IPO) on June 9, 2026, aiming to raise $150 million.
  • The company closed its IPO on June 11, 2026, raising a total of $172,500,000, which included the full exercise of the underwriters' over-allotment option.
  • The IPO involved the issuance of 17,250,000 units, with each unit priced at $10 and consisting of one Class A ordinary share, one warrant, and one right.

Inbound Investments

  • JAB Acquisition I raised $172,500,000 through its Initial Public Offering, including the full exercise of the underwriters' over-allotment option.

Peer Outperformance in Multi-Sector Holdings

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Share of Multi-Sector Holdings constituents that ATLQ has outperformed, by holding period. Peers without a full price history over a given window are excluded from that window.
1Y
insufficient peer history
3Y
insufficient peer history
5Y
insufficient peer history
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Median price return by industry across the Financials sector, ranked by 5Y. Multi-Sector Holdings is ATLQ's own industry. Use this to see which corners of the sector have carried the returns.
Industry Names 1Y med3Y med5Y med Top 3 by 5Y
Investment Banking & Brokerage 13 4.4%109.9%135.9% IBKR 511% · SNEX 266% · GS 188%
Reinsurance 6 18.8%73.7%132.8% SPNT 164% · RGA 143% · RNR 133%
Diversified Banks 12 37.8%127.6%118.3% JPM 157% · CM 153% · RY 143%
Life & Health Insurance 20 8.2%54.2%103.2% JXN 569% · UNM 321% · FG 203%
Multi-Sector Holdings ← 4 3.5%53.9%82.7% JONE 361% · BRK-B 84% · VOYA 81%
Regional Banks 265 26.8%84.7%68.7% GCBC 366% · ESQ 361% · VBNK 332%
Property & Casualty Insurance 42 9.4%68.6%68.2% ASIC 2746900% · HRTG 471% · UVE 308%
Multi-line Insurance 9 8.9%78.7%64.5% GNW 193% · L 108% · SLF 91%
Consumer Finance 30 5.7%87.6%33.8% ENVA 603% · EZPW 379% · FCFS 180%
Financial Exchanges & Data 15 -6.5%11.8%30.5% VIRT 201% · CBOE 142% · CME 80%
Diversified Financial Services 4 0.9%14.0%24.1% FRHC 174% · EQH 106% · TMS -58%
Insurance Brokers 16 -17.9%-3.8%20.4% LIFE 347% · ARX 89% · AJG 75%
Asset Management & Custody Banks 83 -10.8%13.7%14.4% WT 340% · SII 291% · VCTR 280%
Commercial & Residential Mortgage Finance 12 -48.2%28.3%2.8% FNMA 488% · FMCC 458% · ESNT 70%
Specialized Finance 3 27.4%39.8%-0.4% EFC 30% · CACC 0% · HASI -13%
Mortgage REITs 33 -13.2%8.4%-15.4% NREF 55% · RITM 48% · DX 37%
Transaction & Payment Processing Services 15 2.2%-8.7%-41.9% V 73% · MA 70% · CPAY 60%
Diversified Capital Markets 21 -33.6%2.7%-43.9% OPY 215% · LPLA 153% · GOLD 103%
Median of constituents with a full price history over each window. Top names are unfiltered by size in this render.

Recent Active Movers

Peer Comparisons

Peers to compare with:

Financials

ATLQAACAESPALPXBCCQBIDMedian
NameJAB Acqu.Ares Acq.Aeon Acq.Alpex Ac.Bleichro.Tribeca . 
Mkt Price9.9710.12----10.04
Mkt Cap-------
Rev LTM-------
Op Inc LTM-------
FCF LTM-------
FCF 3Y Avg-------
CFO LTM-------
CFO 3Y Avg-------

Growth & Margins

ATLQAACAESPALPXBCCQBIDMedian
NameJAB Acqu.Ares Acq.Aeon Acq.Alpex Ac.Bleichro.Tribeca . 
Rev Chg LTM-------
Rev Chg 3Y Avg-------
Rev Chg Q-------
QoQ Delta Rev Chg LTM-------
Op Inc Chg LTM-------
Op Inc Chg 3Y Avg-------
Op Mgn LTM-------
Op Mgn 3Y Avg-------
QoQ Delta Op Mgn LTM-------
CFO/Rev LTM-------
CFO/Rev 3Y Avg-------
FCF/Rev LTM-------
FCF/Rev 3Y Avg-------

Valuation

ATLQAACAESPALPXBCCQBIDMedian
NameJAB Acqu.Ares Acq.Aeon Acq.Alpex Ac.Bleichro.Tribeca . 
Mkt Cap-------
P/S-------
P/Op Inc-------
P/EBIT-------
P/E-------
P/CFO-------
Total Yield-------
Dividend Yield-------
FCF Yield 3Y Avg-------
D/E-------
Net D/E-------

Returns

ATLQAACAESPALPXBCCQBIDMedian
NameJAB Acqu.Ares Acq.Aeon Acq.Alpex Ac.Bleichro.Tribeca . 
1M Rtn0.2%-0.3%-----0.1%
3M Rtn0.2%-0.3%-----0.1%
6M Rtn0.2%-0.3%-----0.1%
12M Rtn0.2%-0.3%-----0.1%
3Y Rtn0.2%-0.3%-----0.1%
1M Excs Rtn1.3%0.9%----1.1%
3M Excs Rtn-3.4%-3.8%-----3.6%
6M Excs Rtn-14.6%-15.0%-----14.8%
12M Excs Rtn-17.1%-17.5%-----17.3%
3Y Excs Rtn-71.3%-71.8%-----71.5%

Comparison Analyses

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Financials

Price Behavior

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ATLQ Betas & Captures as of 8/31/2026

 1M2M3M6M1Y3Y
Beta      
Up Beta
Down Beta
Up Capture0%0%0%0%0%0%
Bmk +ve Days10213268138427
Stock +ve Days      
Down Capture-0%-0%-0%-0%-0%-0%
Bmk -ve Days11213259113324
Stock -ve Days      

[1] Upside and downside betas calculated using positive and negative benchmark daily returns respectively
Based On 1-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with ATLQ
ATLQ0.2%1.8%-0.04-
Sector ETF (XLF)9.0%14.6%0.37-28.3%
Equity (SPY)18.3%12.8%1.03-45.6%
Gold (GLD)19.0%29.2%0.59-26.3%
Commodities (DBC)48.3%20.6%1.8015.5%
Real Estate (VNQ)7.6%13.6%0.29-71.1%
Bitcoin (BTCUSD)-32.4%43.8%-0.77-58.4%

Smart multi-asset allocation framework can stack odds in your favor. Learn How
Based On 5-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with ATLQ
ATLQ0.0%1.8%-0.04-
Sector ETF (XLF)10.2%18.4%0.42-28.3%
Equity (SPY)12.5%17.2%0.55-45.6%
Gold (GLD)18.7%18.8%0.81-26.3%
Commodities (DBC)11.4%19.5%0.4615.5%
Real Estate (VNQ)0.7%18.9%-0.07-71.1%
Bitcoin (BTCUSD)9.4%52.6%0.36-58.4%

Smart multi-asset allocation framework can stack odds in your favor. Learn How
Based On 10-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with ATLQ
ATLQ0.0%1.8%-0.04-
Sector ETF (XLF)13.2%22.1%0.54-28.3%
Equity (SPY)15.2%17.9%0.72-45.6%
Gold (GLD)12.3%16.3%0.62-26.3%
Commodities (DBC)8.7%18.1%0.3915.5%
Real Estate (VNQ)4.7%20.7%0.19-71.1%
Bitcoin (BTCUSD)63.2%66.2%1.03-58.4%

Smart multi-asset allocation framework can stack odds in your favor. Learn How

Short Interest

Short Interest: As Of Date8312026
Short Interest: Shares Quantity0.1 Mil
Short Interest: % Change Since 8152026-17.1%
Average Daily Volume0.3 Mil
Days-to-Cover Short Interest1
Core Cache Last Updated: 9/13/2026