Hemab Therapeutics Holdings Inc

Hemab Therapeutics Holdings Inc(COAG)股票分析

$44.840

-4.215 (-9.40%)收盤時

Loading chart…
High
49.370
Open
48.840
VWAP
46.28
Vol
260.08K
Mkt Cap
Low
44.635
Amount
12.04M
EV/EBITDA, TTM
0.00

Hemab Therapeutics Holdings, Inc. is a clinical-stage biotechnology company. The Company is developing therapies that reimagine the treatment of blood coagulation disorders to sustain life and human resilience. It designs its assets to address critical gaps in the treatment of coagulation disorders. Its lead asset, sutacimig (HMB-001), is a bispecific antibody in Phase 1/2 clinical development for the prophylactic treatment of Glanzmann thrombasthenia and Phase 2 clinical development for the prophylactic treatment of Factor VII deficiency. Its second clinical-stage asset, HMB-002, is a monovalent antibody in Phase 1/2 clinical development for the subcutaneous prophylactic treatment of Von Willebrand Disease. HMB-002 is designed to address the underlying biological drivers of Von Willebrand Disease by increasing endogenous levels of von Willebrand factor (VWF), and Factor VIII, a blood coagulation protein. It is also advancing multiple preclinical and discovery-stage assets.

ir.hemab.com

AI analysis of Hemab Therapeutics Holdings Inc (COAG)

hold

Currently, Hemab Therapeutics (COAG) is trading at $44.84, significantly below the average analyst price target of $60, indicating potential upside. However, the stock has a low RSI of 29.128, suggesting it is oversold, but it also reported a wider Q2 loss of $24.2 million, which raises concerns about its financial health. Therefore, while there is potential for recovery, the current financial losses and market volatility suggest a cautious approach.

估值指標

The current forward P/E ratio for Hemab Therapeutics Holdings Inc (COAG) 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 COAG

R

Rock Springs Capital Management LP

+ HoldingCOAG

+18.51%

3M Return

B

Bain Capital Life Sciences Investors, LLC

+ HoldingCOAG

+14.97%

3M Return

A

Avoro Capital Advisors LLC

+ HoldingCOAG

+13.10%

3M Return

R

RA Capital Management, L.P.

+ HoldingCOAG

+2.43%

3M Return

A

Artal Group S.A.

+ HoldingCOAG

-0.61%

3M Return

D

Deep Track Capital, LP

+ HoldingCOAG

-3.79%

3M Return

事件時間軸

2026-08-11 (ET)

07:30:00

Hemab CEO Announces New Program HMB-003 Addressing Heavy Menstrual Bleeding

2026-07-12 (ET)

10:00:00

Hemab Therapeutics Presents HMB-002 Clinical Data

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

2026-05-01 (ET)

12:40:00

Hemab Therapeutics Prices 16.75M Shares at $18.00

資訊

COAG FAQ — answered by Alphio AI

Hemab Therapeutics Holdings, Inc. is a clinical-stage biotechnology company. The Company is developing therapies that reimagine the treatment of blood coagulation disorders to sustain life and human resilience. It designs its assets to address critical gaps in the treatment of coagulation disorders. Its lead asset, sutacimig (HMB-001), is a bispecific antibody in Phase 1/2 clinical development for the prophylactic treatment of Glanzmann thrombasthenia and Phase 2 clinical development for the prophylactic treatment of Factor VII deficiency. Its second clinical-stage asset, HMB-002, is a monovalent antibody in Phase 1/2 clinical development for the subcutaneous prophylactic treatment of Von Willebrand Disease. HMB-002 is designed to address the underlying biological drivers of Von Willebrand Disease by increasing endogenous levels of von Willebrand factor (VWF), and Factor VIII, a blood coagulation protein. It is also advancing multiple preclinical and discovery-stage assets. It operates in the Healthcare sector.

Currently, Hemab Therapeutics (COAG) is trading at $44.84, significantly below the average analyst price target of $60, indicating potential upside. However, the stock has a low RSI of 29.128, suggesting it is oversold, but it also reported a wider Q2 loss of $24.2 million, which raises concerns about its financial health. Therefore, while there is potential for recovery, the current financial losses and market volatility suggest a cautious approach.

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