ARWR

Arrowhead Pharmaceuticals, Inc. (ARWR)
Healthcare • Biotechnology • $74.30 • MCap: 10,465,677,312 🌐
https://arrowheadpharma.com • Arrowhead Pharmaceuticals, Inc. develops medicines for the treatment of intractable diseases in the United States. Its pipeline includes Plozasiran to reduce production of apolipoprotein C-III in Phase 3 studies; Zodasiran to reduce production of angiopoietin-like protein 3 in Phase 3 clinical trials; ARO-DIMER-PA, a dual functional RNAi molecule in a Phase 1/2a clinical trials; and ARO-PNPLA3, an investigational RNAi therapeutic in Phase 1 clinical trials. The company also develops ARO-INHBE, to reduce the hepatic expression of the INHBE gene and its secreted gene product, Activin E in Phase 1/2a clinical trials; ARO-ALK7 to silence adipocyte expression of the ACVR1C gene in Phase 1/2a clinical trials; ARO-RAGE to reduce production of the receptor for advanced glycation end products in Phase 1/2a clinical trials; and ARO-MAPT, an investigational RNAi-based therapy. In addition, it is developing ARO-C3 to reduce production of C3 in Phase 1/2a clinical trials; and ARO-CFB to reduce hepatic expression of CFB in a Phase 1/2a clinical trials. The company has collaboration and license Agreements with Glaxosmithkline Intellectual Property (No. 3) Limited; Takeda Pharmaceutical Company Limited; Amgen Inc.; and Sarepta Therapeutics, Inc. Arrowhead Pharmaceuticals, Inc. was founded in 2003 and is headquartered in Pasadena, California.
Buy Decision Core
Total Score
34
Business Quality
10
Financial Strength
4
Growth Outlook
1
Momentum
6
Price Action
Current
74.30
52W High
86.97
52W Low
14.71
Above 50DMA
77.40 (-4.00%)
Above 200DMA
62.80 (18.31%)
Relative Strength
Relative Strength
1.09
RS 3M
0.09
RS 6M
0.13
RS 9M
1.07
RS 12M
4.05
Fundamentals
Revenue Growth
-0.86%
Earnings Growth
0%
ROE
-0.42%
ROA
-0.07%
Valuation
PE (Fwd)
-16.28
PEG
0
P/B
17.01
Upside
22.81%
Risk
Beta
1.26
Short %
0.08
Risk Score
7.00
Analyst
Rating
strong_buy
Target
91.25
Beta
1.26
Analysts
0


Total Score
34
Upside
22.81%
Relative Strength
1.09
Beta
1.26
Why Buy?
  • PEG Ratio below 1 (attractive valuation)
  • Trading above 200 DMA
  • Analyst upside exceeds 15%
Key Risks
  • Revenue growth is negative
  • Negative ROE
Score Breakdown
Business
10
Financial
4
Growth
1
Valuation
8
Risk
2
Momentum
6
Technical
52W High: 86.97
52W Low: 14.71
Above 50DMA: -4.00%
Above 200DMA: 18.31%
Valuation
Forward PE: -16.28
PEG: 0
P/B: 17.01
Upside: 22.81%
Risk
Beta: 1.26
Short Float: 0.08%
ROE: -0.42%
ROA: -0.07%