Live market data

Real-time quote & chart.

The chart below displays live trading data for Charlton Aria's Class A ordinary shares on the Nasdaq Capital Market (symbol CHAR). To switch between the unit (CHARU), the Class A share (CHAR), and the right (CHARR), use the symbol selector on the chart, or refer to the symbol cards below.

Data provided by TradingView. Quotes may be delayed; consult your broker or Nasdaq for execution-quality prices.

Listed securities

Three symbols on Nasdaq.

The company's securities trade under three separate Nasdaq Capital Market symbols. The unit, which traded immediately after the initial public offering, has since separated into the Class A ordinary share and the right.

CHARU

Unit

Each unit consists of one Class A ordinary share and one right to receive one-tenth (1/10) of one Class A ordinary share upon consummation of the company's initial business combination. Units commenced trading on the Nasdaq Capital Market on October 24, 2024.

CHAR

Class A ordinary share

The Class A ordinary share component of the unit, traded separately following the unit-separation date. Holders of Class A ordinary shares are entitled to a pro rata share of the trust account upon redemption in connection with a business combination or extension.

CHARR

Right

The right component of the unit, traded separately following the unit-separation date. Each right entitles the holder to receive one-tenth (1/10) of one Class A ordinary share at the closing of the company's initial business combination, with no cash payable upon exercise.

Capital structure

Outstanding securities & trust.

The summary below reflects the company's capital structure as disclosed in its registration statement and subsequent periodic filings. For definitive figures, refer to the company's most recent quarterly report on Form 10-Q or annual report on Form 10-K.

7.5M
Class A Public Shares
Issued in the October 2024 initial public offering at $10.00 per unit
1.875M
Founder Shares (Class B)
Held by ST Sponsor II Limited and the company's independent directors
7.5M
Rights Outstanding
Convertible at closing of the initial business combination (1 right = 1/10 of one Class A share)
$91.3M
Trust Account Value
As of April 30, 2026, including accrued interest on U.S. Treasury obligations
Shareholder structure

Who owns the company.

The summary below presents the company's ownership composition as derived from public Section 13 filings and broker-distributed institutional ownership data. The authoritative source for any individual holding is the holder's own filing on EDGAR.

Holder type
Approx. share
Notes
Institutional investors
~55%
Aggregated holdings across mutual funds, ETFs, hedge funds, and other professionally managed accounts (Source: public 13F/13G filings, broker data).
Sponsor & founders
~17%
Founder shares held by ST Sponsor II Limited (wholly owned by Sovereign Global Trust LLC since May 13, 2025) and the company's independent directors; subject to lock-up and forfeiture provisions.
Hedge funds (subset)
~7%
Subset of institutional category; SPAC-focused arbitrage and event-driven managers reported through 13F filings.
Public float & retail
balance
Retail investors and other unaffiliated holders of the company's Class A ordinary shares.
Where the definitive data lives

Use SEC EDGAR for definitive ownership and disclosure data.

This page is a courtesy summary. For the company's complete record of registration statements, prospectuses, periodic reports, and current reports, refer to the company's filings on EDGAR. For individual investor holdings, refer to the relevant holder's Schedule 13D, Schedule 13G, Form 13F, or Form 4 filings as applicable.

View on SEC EDGAR Nasdaq market data (CHAR) Company filings