Price Move History
- Daily moves over 5%
- 17 24 sessions, May 5, 2025 to January 23, 2026
- Largest daily move
- +220% close of May 15, 2025
Company Description
AIMWF has declined 85.0% over the past month. The last closing price was $0.0150.
For FY2024, Aimfinity Investment I reported net income of $1.2M and diluted earnings per share of -$0.27.
This page collects what Stock Titan holds for AIMWF, including price data, latest news, SEC filings, insider trading activity, financial highlights, upcoming events, and short interest trends.
Stock Performance
Aimfinity Investment I (AIMWF) closed at $0.0150 on January 23, 2026. Over the past month, the price has lost 85.0%.
AIMWF Metrics & Rankings
Price returns through January 23, 2026. Month-to-date and YTD include the first trading day. Ranking links may use different dates.
Latest News
SEC Filings
Aimfinity Investment I has filed 5 recent SEC filings, including 3 Form 8-K, 1 Form NT 10-Q, 1 Form SCHEDULE 13G/A. The most recent filing was submitted on June 25, 2026. SEC filings provide transparency into a company's financial condition, material events, and regulatory compliance. View all AIMWF SEC filings →
Financial Highlights
operating income reached -$819K, and net income was $1.2M. Diluted earnings per share stood at -$0.27. The company generated -$671K in operating cash flow. With a current ratio of 0.00, short-term liquidity bears monitoring.
Upcoming Events
Short Interest History
Short interest in Aimfinity Investment I (AIMWF) currently stands at 8.2 thousand shares. With 1000.0 days to cover, it would take significant time for short sellers to close their positions based on average trading volume.
Days to Cover History
Days to cover for Aimfinity Investment I (AIMWF) currently stands at 1000.0 days. This elevated days-to-cover ratio indicates it would take over two weeks of average trading volume for short sellers to exit their positions, suggesting potential for a short squeeze if positive news emerges. The days to cover has increased 141.3% over the past year, indicating improving liquidity conditions. The ratio has shown significant volatility over the period, ranging from 1.0 to 1000.0 days.