ALEC

Alector, Inc. (ALEC)
Healthcare • Biotechnology • $1.50 • MCap: 166,537,776 🌐
https://www.alector.com • Alector, Inc., a clinical stage biotechnology company, develops therapies to counteract the progression of neurodegeneration in the United States. Its pipeline includes Nivisnebart, an investigational human recombinant monoclonal antibody for treating prevalent neurodegenerative diseases; AL137, an anti-amyloid beta antibody paired in preclinical development for the potential treatment of Alzheimer's disease; and AL050, a GCase enzyme replacement therapy in preclinical development for the potential treatment of Parkinson's disease and Lewy body dementia in patients having GBA1 gene mutations. The company also develops its preclinical and research pipeline comprising AL064, a tau siRNA for Alzheimer's disease and other tauopathies; ADP062-ABC, an alpha-synuclein siRNA for Parkinson's disease; and ADP065-ABC, an NLRP3 siRNA for neurodegenerative conditions. It has a strategic collaboration agreement with GlaxoSmithKline plc for the development and commercialization of progranulin-elevating monoclonal antibodies, including Latozinemab and Nivisnebart. The company was founded in 2013 and is headquartered in South San Francisco, California.
Buy Decision Core
Total Score
23
Business Quality
1
Financial Strength
4
Growth Outlook
1
Momentum
2
Price Action
Current
1.50
52W High
3.32
52W Low
1.14
Above 50DMA
1.89 (-20.60%)
Above 200DMA
1.96 (-23.52%)
Relative Strength
Relative Strength
-0.32
RS 3M
-0.41
RS 6M
-0.19
RS 9M
-0.5
RS 12M
-0.07
Fundamentals
Revenue Growth
-0.72%
Earnings Growth
0%
ROE
-2.39%
ROA
-0.26%
Valuation
PE (Fwd)
-2.14
PEG
0
P/B
15.96
Upside
106.67%
Risk
Beta
0.60
Short %
0.05
Risk Score
8.00
Analyst
Rating
hold
Target
3.10
Beta
0.60
Analysts
0


Total Score
23
Upside
106.67%
Relative Strength
-0.32
Beta
0.60
Why Buy?
  • PEG Ratio below 1 (attractive valuation)
  • Analyst upside exceeds 15%
Key Risks
  • Revenue growth is negative
  • Negative ROE
  • Weak long-term relative strength
Score Breakdown
Business
1
Financial
4
Growth
1
Valuation
9
Risk
3
Momentum
2
Technical
52W High: 3.32
52W Low: 1.14
Above 50DMA: -20.60%
Above 200DMA: -23.52%
Valuation
Forward PE: -2.14
PEG: 0
P/B: 15.96
Upside: 106.67%
Risk
Beta: 0.60
Short Float: 0.05%
ROE: -2.39%
ROA: -0.26%