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Biohaven Pharmaceutical Holding Company Ltd

BHVN | US

9.92

USD

-0.39

-3.78%

BHVN | US

About Biohaven Pharmaceutical Holding Company Ltd

Sector

Healthcare

Industry

Biotechnology

Earnings date

30/06/2024

As of date

06/03/2026

Close

9.92

Open

10.05

High

10.22

Low

9.70

Biohaven Ltd. a clinical-stage biopharmaceutical company focuses on discovering developing and commercializing therapies for patients with debilitating neurological and neuropsychiatric diseases in the United States. The company's pipeline products include BHV-7000 a potassium channel activator for the treatment of focal epilepsy; BHV-7010 a Kv7 channel modulator for the treatment of different neurological diseases; Troriluzole a tripeptide prodrug that is in Phase 3 clinical trial for the treatment of neurological and neuropsychiatric illnesses; BHV-5500 a low-trapping glutamate N-methyl-D-aspartate receptor antagonist for neuropathic pain; and Verdiperstat an oral myeloperoxidase inhibitor which is in Phase 3 clinical trial for the treatment of neurodegenerative diseases. It also offers Taldefgrobep Alfa an anti-myostatin adnectin which is in Phase 3 clinical trial for the treatment of spinal muscle atrophy; and BHV-1100 that is in Phase 1a/1b clinical trial for multiple myeloma patients. The company was formerly known as Biohaven Research Ltd and changed its name to Biohaven Ltd. in September 2022. Biohaven Ltd. was incorporated in 2022 and is headquartered in New Haven Connecticut. Biohaven Ltd. is a subsidiary of Biohaven Pharmaceutical Holding Company Ltd.

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BHVN | US

Risk
68.1
Sharpe
-0.77
Luna's Score
40/100
Recommendation
Sell

Luna says (BHVN | US)

What's Working

Low Debt to Equity (< 0.25)

Low Debt to Asset (< 0.2)

What's not Working

Negative Momentum (Declining Price)

Price Below SMA10D

High 6-Month Volatility (>65%)

Smallcap (300M - 2B USD)

High Market Beta (> 0.8)

Rich in Valuation (Price to Book > 8)

Weak Sharpe Ratio (< 0.3)

Volatility Signals

Bearish: Increased Volatility (6-month > 1-month volatility)

Risk Meter

10 days

62.3%

1 month

68.1%

3 months

82.0%

6 months

101.0%

Returns

Fundamental Ratios

PE

-

Fwd. PE

-

Price to book

13.93

Debt to equity

0.08

Debt to assets

0.05

Ent. to EBITDA

-2.19

Ent. to rev.

-

PEG

-

Other Fundamentals

EBITDA

-774.44M

MarketCap

1.00B

MarketCap(USD)

1.00B

Div. yield

-

Op. margin

-

Erngs. growth

-

Rev. growth

-

Ret. on equity

-193.67

Short ratio

7.11

Short perc.

10.71

Market Sentiment (SMA and Price signals)

Short-term: Bearish (SMA10D < SMA1M)

Intermediate-term: Bearish (SMA1M < SMA3M)

Long-term: Bearish (SMA6M < SMA12M)

SMAs: Stock Price Trends

Range10D

2.35

Range1M

3.38

Range3M

4.72

Volumes: Market Activity

Rel. volume

1.00

Price X volume

21.11M

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  • 1

Industry Comparison

ParameterCompanyIndustryIndicator
Enterprise to EBITDA-2.19-Cheaper
Ent. to Revenue---
PE Ratio-41.03-
Price to Book13.9315.55Par
Dividend Yield---
Std. Deviation (3M)81.97-Par
Debt to Equity0.08-1.23Expensive
Debt to Assets0.050.25Cheaper
Market Cap1.00B-Emerging
  • 1

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