AVXL
Anavex Life Sciences Corp. (AVXL)
Healthcare • Biotechnology • $2.39 • MCap: 221,485,520
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https://www.anavex.com • Anavex Life Sciences Corp. operates as a biopharmaceutical company. It engages in developing innovative treatments for Alzheimer's disease, Parkinson's disease, schizophrenia, neurodevelopmental, neurodegenerative, and rare diseases, including Rett syndrome, and other central nervous system (CNS) disorders, pain, and various types of cancer . Its lead drug candidate, ANAVEX 2-73 (blarcamesine), has completed a Phase 2a and a Phase 2b/3 clinical trial for Alzheimer's disease; a Phase 2 proof-of-concept study in Parkinson's disease dementia; and a Phase 2 and a Phase 3 study in adult patients and one Phase 2/3 study in pediatric patients with Rett syndrome. Its ANAVEX 2-73 is an orally available drug candidate designed to restore cellular homeostasis by targeting SIGMAR1 and muscarinic receptors. The ANAVEX 2-73 also exhibited anticonvulsant, anti-amnesic, neuroprotective, and anti-depressant properties in animal models, indicating its potential to treat additional CNS disorders, including epilepsy. The company's ANAVEX 3-71, which targets SIGMAR1 and M1 muscarinic receptors, is a clinical stage drug candidate demonstrating disease-modifying activity against Alzheimer's disease in transgenic (3xTg-AD) mice, including cognitive deficits, amyloid, and tau pathologies. Anavex Life Sciences Corp. was incorporated in 2004 and is headquartered in New York, New York.
Buy Decision Core
Total Score
32
Business Quality
1
Financial Strength
10
Growth Outlook
1
Momentum
2
Price Action
Current
2.39
52W High
13.41
52W Low
2.34
Above 50DMA
2.71 (-11.88%)
Above 200DMA
4.40 (-45.63%)
Relative Strength
Relative Strength
-0.52
RS 3M
-0.3
RS 6M
-0.5
RS 9M
-0.73
RS 12M
-0.79
Fundamentals
Revenue Growth
0%
Earnings Growth
0%
ROE
-0.34%
ROA
-0.22%
Valuation
PE (Fwd)
-4.35
PEG
0
P/B
1.75
Upside
736.82%
Risk
Beta
1.14
Short %
0.16
Risk Score
4.00
Analyst
Rating
none
Target
20.00
Beta
1.14
Analysts
0
Total Score
32
Upside
736.82%
Relative Strength
-0.52
Beta
1.14
Why Buy?
- PEG Ratio below 1 (attractive valuation)
- Analyst upside exceeds 15%
Key Risks
- Negative ROE
- Weak long-term relative strength
Score Breakdown
Business
1
1
Financial
10
10
Growth
1
1
Valuation
12
12
Risk
3
3
Momentum
2
2
Technical
52W High: 13.41
52W Low: 2.34
Above 50DMA: -11.88%
Above 200DMA: -45.63%
Valuation
Forward PE: -4.35
PEG: 0
P/B: 1.75
Upside: 736.82%
Risk
Beta: 1.14
Short Float: 0.16%
ROE: -0.34%
ROA: -0.22%