CG Oncology Inc

CG Oncology Inc(CGON)股票分析

$74.590

-1.246 (-1.67%)收盤時

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High
78.515
Open
77.000
VWAP
75.68
Vol
663.88K
Mkt Cap
Low
73.935
Amount
50.24M
EV/EBITDA, TTM
-1.07

CG Oncology, Inc. is a late-stage clinical biopharmaceutical company focused on developing and commercializing a potential backbone bladder-sparing therapeutic for patients afflicted with bladder cancer. The Company’s product candidate, cretostimogene grenadenorepvec (cretostimogene) is in clinical development for the treatment of patients with non-muscle invasive bladder cancer (NMIBC). Its BOND-003 is in Phase III clinical trial, which is designed to assess the safety and efficacy of cretostimogene in high-risk Bacillus Calmette Guerin (BCG)-unresponsive NMIBC when administered as a monotherapy. Its CORE-001 is a Phase II single-arm, open-label clinical trial of cretostimogene administered with BCG-unresponsive NMIBC. Its portfolio also includes PIVOT-006, a Phase III trial to assess the safety and efficacy of adjuvant cretostimogene when administered as monotherapy to patients with intermediate-risk NMIBC following transurethral resection of the bladder tumor (TURBT).

AI analysis of CG Oncology Inc (CGON)

hold

CG Oncology Inc is currently a hold. The stock is priced at $74.34, which is below the average analyst price target of $85 from Truist, indicating potential upside. However, the RSI is at 35.068, suggesting the stock is oversold, and the recent 5-day change is down by 6.85%, indicating negative momentum. The main risk is the significant net loss of $79,056,000 reported in Q2 2026, which raises concerns about profitability and financial stability.

估值指標

The current forward P/E ratio for CG Oncology Inc (CGON) is 0.00, compared to its 5-year average forward P/E of -17.71.

Forward P/E

Strongly Overvalued
5Y Average P/E
-17.71
Current P/E
0.00
高估
-12.74
低估
-22.67

Forward EV/EBITDA

Overvalued
5Y Average EV/EBITDA
-10.41
Current EV/EBITDA
-1.07
高估
-2.52
低估
-18.29

Forward P/S

Undervalued
5Y Average P/S
2491.68
Current P/S
79.77
高估
4279.22
低估
704.13

Whales holding CGON

L

Logos Global Management, L.P.

+ HoldingCGON

+30.93%

3M Return

T

TCG Crossover Management, LLC

+ HoldingCGON

+15.71%

3M Return

B

Bellevue Asset Management AG

+ HoldingCGON

+11.71%

3M Return

O

OrbiMed Advisors LLC

+ HoldingCGON

+9.09%

3M Return

事件時間軸

2026-08-06 (ET)

10:00:00

CG Oncology Reports Q2 Revenue of $1.16M

2026-07-27 (ET)

19:00:00

CG Oncology Publishes BOND-003 Trial Results, Showing Advances in Bladder Cancer Treatment

2026-06-25 (ET)

09:01:00

Morgan Stanley Acts as Sole Bookrunner with Deal Range $66.87-$67.87

2026-06-24 (ET)

20:00:00

Micron Technology Shares Rise 14.4%, Boosting Semiconductor Sector

18:00:00

Morgan Stanley Acts as Sole Book Running Manager

資訊

CGON FAQ — answered by Alphio AI

CG Oncology, Inc. is a late-stage clinical biopharmaceutical company focused on developing and commercializing a potential backbone bladder-sparing therapeutic for patients afflicted with bladder cancer. The Company’s product candidate, cretostimogene grenadenorepvec (cretostimogene) is in clinical development for the treatment of patients with non-muscle invasive bladder cancer (NMIBC). Its BOND-003 is in Phase III clinical trial, which is designed to assess the safety and efficacy of cretostimogene in high-risk Bacillus Calmette Guerin (BCG)-unresponsive NMIBC when administered as a monotherapy. Its CORE-001 is a Phase II single-arm, open-label clinical trial of cretostimogene administered with BCG-unresponsive NMIBC. Its portfolio also includes PIVOT-006, a Phase III trial to assess the safety and efficacy of adjuvant cretostimogene when administered as monotherapy to patients with intermediate-risk NMIBC following transurethral resection of the bladder tumor (TURBT). It operates in the Healthcare sector (BIOLOGICAL PRODUCTS, EXCEPT DIAGNOSTIC SUBSTANCES industry).

CG Oncology Inc is currently a hold. The stock is priced at $74.34, which is below the average analyst price target of $85 from Truist, indicating potential upside. However, the RSI is at 35.068, suggesting the stock is oversold, and the recent 5-day change is down by 6.85%, indicating negative momentum. The main risk is the significant net loss of $79,056,000 reported in Q2 2026, which raises concerns about profitability and financial stability.

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