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Sector: HealthcareIndustry: Biotechnology

Abeona Therapeutics Inc

Current Price

Analyst Sentiment

6 ratings: Buy

Strong Buy
1
Buy
5
Hold
0
Sell
0
Strong Sell
0

Abeona Therapeutics Inc. is a clinical-stage biopharmaceutical firm based in New York, NY, dedicated to advancing innovative gene and cell therapies for rare, life-threatening genetic disorders. The company leverages its...|

Overview

Market Cap$246.57M
52W High / Low$8 / $4
P/E3.96
PEG0.00
Book Value$3.27
Dividend/ShareN/A
Dividend YieldN/A
EPS$1.15
Revenue/Share$0.01
OPM-208.02%
NPM205.88%
ROA-29.60%
ROE75.90%
Gross Profit$-29.28M
Forward PE476.19
Price to Sales616.43
Price to Book1.51
EV to Sales189.38
EV to EBITDA0.84
Beta1.12
50D Moving Avg$5.02
200D Moving Avg$5.68
Institutional Holding66.07%
Insider Holding10.35%
Trailing P/E3.96
Qtr EPS GrowthN/A
Qtr Revenue Growth-100.00%

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Earnings Estimates

Analyst consensus EPS and Revenue forecasts.

No Estimates Available

Earnings estimates are not available for this company.

Peer Comparison

Showing 5 peers (Same Industry)
S.No.NameSymbolMarket CapP/EP/BProfit MarginOp. MarginROERev. Growth
1.SAB Biotherapeutics Inc - Warrants (25/07/2027)SABSW0.1016,338.00%-37,657.00%18.60%-62.40%
2.SAB Biotherapeutics IncSABS$173.29M1.1016,338.00%-37,657.00%18.60%-62.40%
3.Oramed Pharmaceuticals IncORMP$109.58M2.750.562,193.00%-651.00%24.50%-100.00%
4.FibroGen IncFGEN$32.69M53.832,599.00%-499.10%-1,016.00%775.00%
5.PureTech Health PlcPRTC$405.79M9.881.07793.00%-2,590.00%9.44%543.00%

Quarterly Results

Consolidated Figures in Millions / View Standalone.

Quarter (M)Dec 23Mar 24Jun 24Sep 24Dec 24Mar 25Jun 25Sep 25
Sales
2.820004.7800.40
Expenses
12.4914.3317.8615.3515.919.7323.0923.53
Operating Profit
-16.48-30.638.48-29.17-8.21-11.03125.3-19.46
OPM %
-584.4%----171.76%-31325%-
Other Income
00000000
Interest
0.63-0.110.120.09-0.060.310.070.77
Depreciation
0.720.720.690.720.780.810.770.89
Profit Before Tax
-16.59-31.587.41-30.27-9.29-12.03124.34-20.36
Tax %
-4.1%-2.15%-22.54%0%7.32%0%12.47%74.66%
Net Profit
-16.59-31.587.41-30.27-9.29-12.03108.83-5.16
EPS
00000000

Profit & Loss

Consolidated Figures in Millions / View Standalone.

Period (M)Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales
1.040.890.84301031.413.50
COGS
19.0410.6516.9938.748.5730.1438.730.451.62.91
Gross Profit
1.04-9.77-16.15-35.7-48.571030.961.9-2.91
Gross Profit %
100%-1097.75%-1922.62%-1190%-100%100%68.09%54.29%-
Operating Exp
19.5924.7728.6761.1628.5291.4292.8451.8849.0361.3
EBITDA
-13.97-21.05-26.58-54.31-69.27-74.52-76.82-34.38-50.57-56.62
Other Income
4.032.010.531.51000000
Interest
4.012.010.521.50.81-2.81-3.59-0.31.70.04
Depreciation
0.550.820.742.367.825.64.464.583.22.91
Profit Before Tax
-14.53-21.87-27.32-56.67-76.28-84.23-84.94-39.7-54.19-63.73
Tax Rate %
-27.74%-9.19%-1.94%-2.66%-0.52%-4.89%-4.32%19.87%-5.59%0%
Net Profit
-14.53-21.87-27.32-56.67-76.28-84.23-84.94-39.7-54.19-63.73

Balance Sheet

Consolidated Figures in Millions / View Standalone.

Period (M)Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash & Bank
40.1469.14137.7518.75129.2612.632.9414.2214.4723.36
Investments
00066.22082.4412.0937.9337.7574.36
Fixed Assets
0.350.721.379.4413.1618.3521.7411.0700
Current Assets
0.430.282.843.883.132.7111.271.293.513.13
Other Assets
39.1440.9236.876.177.8335.11.55-0.298.278.08
Total Assets
80.06111.06178.77174.4223.38151.279.5964.2164108.93
Equity Capital
0.330.40.470.480.840.961.470.180.270.46
Reserves
67.3998.69169.63133.57177.59101.5940.926.5814.5643.57
Borrowing/Debt
40-3.73307.958.739.387.635.423.05
Current Liabilities
1.487.692.3910.0636.7139.6214.516.0112.429.84
Other Liabilities
6.864.27100.30.30.313.3323.8231.3532.01
Total Liabilities & Equity
80.06111.06178.77174.4223.38151.279.5964.2164108.93

Cash Flow Statement

Consolidated Figures in Millions / View Standalone.

Period (M)Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash Flow from Operating
-10.42-13.01-22.93-39.11-62.82-35.02-65.67-43.48-37.01-56.02
Cash Flow from Investing
3.39-0.52-0.86-85.0959.98-83.7166.06-23.960.21-39.24
Cash Flow from Financing
35.6542.5492.45.48113.91.9424.8643.1737.06104.14
Net Cash Flow
28.622968.61-118.72111.06-116.80000