Savara Inc.

$ 5.50 2.23 %

Savara Inc. is a biopharmaceutical firm in the clinical development phase, specializing in therapies for uncommon respiratory conditions. Their primary investigational drug, molgramostim, is an inhaled form of granulocyte-macrophage colony-stimulating factor (GM-CSF). This compound is currently undergoing Phase III trials to address autoimmune pulmonary alveolar proteinosis. The company's main operations are situated in Austin, Texas.

CEO: Matthew Pauls - https://www.savarapharma.com

Price objectif

$10 81.82 %

Recommandation

Buy

DCF

$ 0.00

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SVRA vs S&P500

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Quick ratio

13.47

suggests a healthy liquidity position, showing that the company can likely meet its short-term obligations.

P/E ratio

-9.82

may indicate that the company is undervalued or has poor growth prospects.

EPS

-0.56

is the net profit of a company divided by the number of outstanding shares, indicating the profit earned per share.

ROE

-87.19 %

indicates low profitability, suggesting that the company is not using equity efficiently to generate profits.

ROIC

-65.06 %

does not generate enough return to cover its financing costs, which indicates value destruction and may pose long-term profitability issues.

WACC

5.47

is a company's average cost of capital, weighted by the proportion of debt and equity in its financing. It represents the minimum return the company must generate to satisfy its investors.

Debt-to-Equity Ratio

0.17

indicates that the company uses more equity than debt, suggesting prudent management.

Free cash flow per share

-0.42

is a measure of a company's financial flexibility that is determined by dividing free cash flow by the total number of shares outstanding.

Dividend payout ratio

0.00 %

the dividend payout ratio is the measure of dividends paid out to shareholders relative to the company's net income.

Earnings per share

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Financials

Piotroski score
1 indicates worrying financial health
Altman score
9.87 indicates good financial health and low risk of bankruptcy
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Cash / Debt

Cash Ratio
2.50 indicates that the company has sufficient cash to cover its short-term debts
Debt Ratio
0.14 indicates that the company uses little debt to finance its assets, suggesting good financial stability
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Free Cash Flow

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Earnings Per Share (annual)

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Sales

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