Avalyn Pharma Inc

Avalyn Pharma Inc(AVLN)の株式分析

$34.690

-1.728 (-4.98%)終値時点

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High
36.450
Open
36.450
VWAP
35.17
Vol
202.89K
Mkt Cap
Low
34.370
Amount
7.14M
EV/EBITDA, TTM
0.00

Avalyn Pharma Inc. is a clinical-stage biopharmaceutical company engaged in inhaled therapies to transform the treatment paradigm of serious, rare respiratory diseases with significant unmet needs. The Company's pipeline is focused on treating pulmonary fibrosis. It has three approved oral antifibrotic therapies for pulmonary fibrosis: pirfenidone; nintedanib, and nerandomilast. Its clinically advanced candidates, AP01 and AP02, are inhaled formulations of pirfenidone and nintedanib for the treatment of progressive pulmonary fibrosis and idiopathic pulmonary fibrosis, respectively. It has completed ATLAS, a Phase 1b clinical trial of AP01 in patients with IPF. AP02 is being evaluated in AURA, a global Phase II clinical trial for the treatment of IPF. It is also advancing AP03 into a Phase I clinical trial. AP03 is a fixed-dose combination of inhaled pirfenidone, and nintedanib designed to deliver dual antifibrotic mechanisms with the potential for additive or synergistic benefit.

AI analysis of Avalyn Pharma Inc (AVLN)

buy

Avalyn Pharma Inc. is a good buy right now, primarily due to its strong cash position of $413.5 million following its IPO, which supports ongoing R&D efforts. Additionally, the stock has shown a significant year-to-date change of +92.72%, indicating robust market interest. However, the main risk is its current negative earnings per share (EPS) of -0.98, which reflects ongoing financial losses that could impact investor confidence.

バリュエーション指標

The current forward P/E ratio for Avalyn Pharma Inc (AVLN) is 0.00, compared to its 5-year average forward P/E of .

Forward P/E

5Y Average P/E
Current P/E
0.00

Forward EV/EBITDA

5Y Average EV/EBITDA
Current EV/EBITDA
0.00

Forward P/S

5Y Average P/S
Current P/S
0.00

Whales holding AVLN

T

TPG Capital, L.P.

+ HoldingAVLN

+25.44%

3M Return

R

Rock Springs Capital Management LP

+ HoldingAVLN

+18.51%

3M Return

B

Bellevue Asset Management AG

+ HoldingAVLN

+9.20%

3M Return

P

Perceptive Advisors LLC

+ HoldingAVLN

+4.39%

3M Return

S

Soleus Capital Management, L.P.

+ HoldingAVLN

+3.63%

3M Return

S

Suvretta Capital Management, LLC

+ HoldingAVLN

+2.26%

3M Return

イベントタイムライン

2026-05-26 (ET)

11:10:00

SpaceX Files for IPO Aiming to Raise $80 Billion

2026-05-04 (ET)

11:50:00

Pershing Square USA and Inc. Begin Trading on April 29

2026-04-30 (ET)

12:30:00

Avalyn Pharma Prices 16.67M Shares at $18.00

12:10:00

Avalyn Pharma IPO Priced at $18, Opening at $25.25

ニュース

AVLN FAQ — answered by Alphio AI

Avalyn Pharma Inc. is a clinical-stage biopharmaceutical company engaged in inhaled therapies to transform the treatment paradigm of serious, rare respiratory diseases with significant unmet needs. The Company's pipeline is focused on treating pulmonary fibrosis. It has three approved oral antifibrotic therapies for pulmonary fibrosis: pirfenidone; nintedanib, and nerandomilast. Its clinically advanced candidates, AP01 and AP02, are inhaled formulations of pirfenidone and nintedanib for the treatment of progressive pulmonary fibrosis and idiopathic pulmonary fibrosis, respectively. It has completed ATLAS, a Phase 1b clinical trial of AP01 in patients with IPF. AP02 is being evaluated in AURA, a global Phase II clinical trial for the treatment of IPF. It is also advancing AP03 into a Phase I clinical trial. AP03 is a fixed-dose combination of inhaled pirfenidone, and nintedanib designed to deliver dual antifibrotic mechanisms with the potential for additive or synergistic benefit. It operates in the Healthcare sector.

Avalyn Pharma Inc. is a good buy right now, primarily due to its strong cash position of $413.5 million following its IPO, which supports ongoing R&D efforts. Additionally, the stock has shown a significant year-to-date change of +92.72%, indicating robust market interest. However, the main risk is its current negative earnings per share (EPS) of -0.98, which reflects ongoing financial losses that could impact investor confidence.

本ページは調査目的であり、投資助言ではありません。モデルは誤ることがあります。過去の実績は将来の成果を保証しません。

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