Tearsheet

Churchill Capital IX (CCIX)


Market Price (10/31/2025): $10.765 | Market Cap: $394.7 Mil
Sector: Financials | Industry: Multi-Sector Holdings

Churchill Capital IX (CCIX)


Market Price (10/31/2025): $10.765
Market Cap: $394.7 Mil
Sector: Financials
Industry: Multi-Sector Holdings

Investment Highlights Why It Matters Which of these 2 stories sounds closer for this stock?

1. Generates cash flow

The stock generated 4% or more of the share price (called cash flow yield), and shows moderate 10-15% or more growth.

2. Riding a trend

Think Tesla during the pandemic of 2020 when EVs were riding a cultural high, or Nvidia in the current AI boom, or even Figma. These companies don’t have enough yield, or, enough growth, or both - however - they are riding a trend. They have momentum. These can be more volatile - they don’t have the floor of strong cash flow


0 Low stock price volatility
Vol 12M is 11%
  Very low revenue
Rev LTMTotal Revenue or Sales, Last Twelve Months is 0
1   Not profitable at operating income level
Op Inc LTMOperating Income, Last Twelve Months is -3.1 Mil
0 Low stock price volatility
Vol 12M is 11%
1 Very low revenue
Rev LTMTotal Revenue or Sales, Last Twelve Months is 0
2 Not profitable at operating income level
Op Inc LTMOperating Income, Last Twelve Months is -3.1 Mil

Market Valuation & Key Metrics

CCIX Stock


Return vs. Risk


Price Returns Compared

 202020212022202320242025Total [1]
Returns
CCIX Return-----4%4%
Peers Return      0%
S&P 500 Return16%27%-19%24%23%16%110%

Monthly Win Rates [3]
CCIX Win Rate----50%67% 
Peers Win Rate     62% 
S&P 500 Win Rate58%75%42%67%75%67% 

Max Drawdowns [4]
CCIX Max Drawdown-----0% 
Peers Max Drawdown       
S&P 500 Max Drawdown-31%-1%-25%-1%-2%-15% 


[1] Cumulative total returns since the beginning of 2020
[2] Peers: BCAR, AEXA, BACC, BRR, CCCX.
[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] 2025 data is for the year up to 10/30/2025 (YTD)

How Low Can It Go

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

Unique KeyEventXLFS&P 500
2022 Inflation Shock2022 Inflation Shock  
2022 Inflation Shock% Loss% Loss-26.9%-25.4%
2022 Inflation Shock% Gain to Breakeven% Gain to Breakeven36.7%34.1%
2022 Inflation ShockTime to BreakevenTime to Breakeven525 days464 days
2020 Covid Pandemic2020 Covid Pandemic  
2020 Covid Pandemic% Loss% Loss-43.3%-33.9%
2020 Covid Pandemic% Gain to Breakeven% Gain to Breakeven76.5%51.3%
2020 Covid PandemicTime to BreakevenTime to Breakeven295 days148 days
2018 Correction2018 Correction  
2018 Correction% Loss% Loss-26.1%-19.8%
2018 Correction% Gain to Breakeven% Gain to Breakeven35.2%24.7%
2018 CorrectionTime to BreakevenTime to Breakeven338 days120 days
2008 Global Financial Crisis2008 Global Financial Crisis  
2008 Global Financial Crisis% Loss% Loss-83.7%-56.8%
2008 Global Financial Crisis% Gain to Breakeven% Gain to Breakeven515.2%131.3%
2008 Global Financial CrisisTime to BreakevenTime to Breakeven4470 days1480 days

Compare to


In The Past

SPDR Select Sector Fund's stock fell -26.9% during the 2022 Inflation Shock from a high on 1/12/2022. A -26.9% loss requires a 36.7% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth over time.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

About Churchill Capital IX (CCIX)

Better Bets than Churchill Capital IX (CCIX)

Latest Trefis Analyses

Trade Ideas

Select past ideas related to CCIX. For more, see Trefis Trade Ideas.

Unique KeyDateTickerCompanyCategoryTrade Strategy6M Fwd Rtn12M Fwd Rtn12M Max DD
HLNE_9302025_Dip_Buyer_FCFYield09302025HLNEHamilton LaneDip BuyDB | FCFY OPMDip Buy with High FCF Yield and High Margin
Buying dips for companies with high FCF yield and meaningfully high operating margin
-14.4%-14.4%-14.4%
CNS_9302025_Dip_Buyer_ValueBuy09302025CNSCohen & SteersDip BuyDB | P/E OPMDip Buy with Low PE and High Margin
Buying dips for companies with tame PE and meaningfully high operating margin
5.9%5.9%-1.6%
JKHY_9262025_Monopoly_xInd_xCD_Getting_Cheaper09262025JKHYJack Henry & AssociatesMonopolyMY | Getting CheaperMonopoly-Like with P/S Decline
Large cap with monopoly-like margins or cash flow generation and getting cheaper based on P/S multiple
0.3%0.3%-2.1%
FDS_9192025_Monopoly_xInd_xCD_Getting_Cheaper09192025FDSFactSet Research SystemsMonopolyMY | Getting CheaperMonopoly-Like with P/S Decline
Large cap with monopoly-like margins or cash flow generation and getting cheaper based on P/S multiple
-7.7%-7.7%-7.7%
IBKR_9052025_Quality_Momentum_RoomToRun_10%09052025IBKRInteractive BrokersQualityQ | Momentum | UpsideQuality Stocks with Momentum and Upside
Buying quality stocks with strong momentum but still having room to run
15.0%15.0%0.0%
Unique KeyDateTickerCompanyCategoryTrade Strategy6M Fwd Rtn12M Fwd Rtn12M Max DD
HLNE_9302025_Dip_Buyer_FCFYield09302025HLNEHamilton LaneDip BuyDB | FCFY OPMDip Buy with High FCF Yield and High Margin
Buying dips for companies with high FCF yield and meaningfully high operating margin
-14.4%-14.4%-14.4%
CNS_9302025_Dip_Buyer_ValueBuy09302025CNSCohen & SteersDip BuyDB | P/E OPMDip Buy with Low PE and High Margin
Buying dips for companies with tame PE and meaningfully high operating margin
5.9%5.9%-1.6%
JKHY_9262025_Monopoly_xInd_xCD_Getting_Cheaper09262025JKHYJack Henry & AssociatesMonopolyMY | Getting CheaperMonopoly-Like with P/S Decline
Large cap with monopoly-like margins or cash flow generation and getting cheaper based on P/S multiple
0.3%0.3%-2.1%
FDS_9192025_Monopoly_xInd_xCD_Getting_Cheaper09192025FDSFactSet Research SystemsMonopolyMY | Getting CheaperMonopoly-Like with P/S Decline
Large cap with monopoly-like margins or cash flow generation and getting cheaper based on P/S multiple
-7.7%-7.7%-7.7%
IBKR_9052025_Quality_Momentum_RoomToRun_10%09052025IBKRInteractive BrokersQualityQ | Momentum | UpsideQuality Stocks with Momentum and Upside
Buying quality stocks with strong momentum but still having room to run
15.0%15.0%0.0%

Recent Active Movers

Recent Active Movers

More From Trefis

Peer Comparisons for Churchill Capital IX

Financials

CCIXBCARAEXABACCBRRCCCXMedian
NameChurchil.D Boral .American.Blue Acq.Columbus.Churchil. 
Mkt Price10.7510.0511.4810.0610.2117.8610.48
Mkt Cap0.4-----0.4
Rev LTM0----00
Op Inc LTM-3-----0-2
FCF LTM-2-----1-2
FCF 3Y Avg-------
CFO LTM-2-----1-2
CFO 3Y Avg-------

Growth & Margins

CCIXBCARAEXABACCBRRCCCXMedian
NameChurchil.D Boral .American.Blue Acq.Columbus.Churchil. 
Rev Chg LTM-------
Rev Chg 3Y Avg-------
Rev Chg Q-------
QoQ Delta Rev Chg LTM-------
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

CCIXBCARAEXABACCBRRCCCXMedian
NameChurchil.D Boral .American.Blue Acq.Columbus.Churchil. 
Mkt Cap0.4-----0.4
P/S-------
P/EBIT-125.9------125.9
P/E37.9-----37.9
P/CFO-175.5------175.5
Total Yield2.6%-----2.6%
Dividend Yield0.0%-----0.0%
FCF Yield 3Y Avg-------
D/E0.0-----0.0
Net D/E-0.0------0.0

Returns

CCIXBCARAEXABACCBRRCCCXMedian
NameChurchil.D Boral .American.Blue Acq.Columbus.Churchil. 
1M Rtn2.6%1.2%5.0%0.6%0.9%38.9%1.9%
3M Rtn2.0%----1.6%76.0%2.0%
6M Rtn-3.6%------3.6%
12M Rtn6.9%-----6.9%
3Y Rtn-------
1M Excs Rtn0.7%-0.4%3.5%-1.1%-0.8%36.9%0.1%
3M Excs Rtn-7.6%----10.2%66.8%-7.6%
6M Excs Rtn-25.3%------25.3%
12M Excs Rtn-10.2%------10.2%
3Y Excs Rtn-------

Financials

Price Behavior

Short Interest

Short Interest: As Of Date10152025
Short Interest: Shares Quantity7,506
Short Interest: % Change Since 9302025277.0%
Average Daily Volume173,822
Days-to-Cover Short Interest1
Basic Shares Quantity36,662,500
Short % of Basic Shares0.0%

SEC Filings

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Report DateFiling DateFiling
6302025813202510-Q 6/30/2025
3312025513202510-Q 3/31/2025
12312024331202510-K 12/31/2024
93020241113202410-Q 9/30/2024
6302024813202410-Q 6/30/2024
3312024607202410-Q 3/31/2024

Insider Activity

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