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Tekla Life Sciences Investors (HQL)HQL
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Upturn Advisory Summary
12/05/2024: HQL (1-star) is currently NOT-A-BUY. Pass it for now.
Analysis of Past Performance
Type: Stock | Upturn Star Rating | Today’s Advisory: PASS |
Historic Profit: 2.46% | Upturn Advisory Performance 2 | Avg. Invested days: 36 |
Profits based on simulation | Stock Returns Performance 1 | Last Close 12/05/2024 |
Type: Stock | Today’s Advisory: PASS |
Historic Profit: 2.46% | Avg. Invested days: 36 |
Upturn Star Rating | Stock Returns Performance 1 |
Profits based on simulation Last Close 12/05/2024 | Upturn Advisory Performance 2 |
Key Highlights
Company Size Small-Cap Stock | Market Capitalization 389.20M USD |
Price to earnings Ratio 10.7 | 1Y Target Price - |
Dividends yield (FY) 13.98% | Basic EPS (TTM) 1.33 |
Volume (30-day avg) 77491 | Beta 0.7 |
52 Weeks Range 10.87 - 15.14 | Updated Date 12/5/2024 |
Company Size Small-Cap Stock | Market Capitalization 389.20M USD | Price to earnings Ratio 10.7 | 1Y Target Price - |
Dividends yield (FY) 13.98% | Basic EPS (TTM) 1.33 | Volume (30-day avg) 77491 | Beta 0.7 |
52 Weeks Range 10.87 - 15.14 | Updated Date 12/5/2024 |
Earnings Date
Report Date 2024-12-09 | When After Market |
Estimate - | Actual - |
Report Date 2024-12-09 | When After Market | Estimate - | Actual - |
Profitability
Profit Margin 156.45% | Operating Margin (TTM) -31.63% |
Management Effectiveness
Return on Assets (TTM) -0.32% | Return on Equity (TTM) 1.28% |
Valuation
Trailing PE 10.7 | Forward PE - |
Enterprise Value 370795648 | Price to Sales(TTM) 110.79 |
Enterprise Value to Revenue 9.8 | Enterprise Value to EBITDA - |
Shares Outstanding 27350500 | Shares Floating - |
Percent Insiders 0.01 | Percent Institutions 35.35 |
Trailing PE 10.7 | Forward PE - | Enterprise Value 370795648 | Price to Sales(TTM) 110.79 |
Enterprise Value to Revenue 9.8 | Enterprise Value to EBITDA - | Shares Outstanding 27350500 | Shares Floating - |
Percent Insiders 0.01 | Percent Institutions 35.35 |
Analyst Ratings
Rating - | Target Price - | Buy - |
Strong Buy - | Hold - | Sell - |
Strong Sell - |
Rating - | Target Price - | Buy - | Strong Buy - |
Hold - | Sell - | Strong Sell - |
AI Summarization
Tekla Life Sciences Investors: A Comprehensive Overview
Company Profile:
Detailed history and background: Tekla Life Sciences Investors is a publicly traded life sciences venture capital firm focused on investing in early-stage to late-stage private and public biotechnology and life sciences companies. The company was founded in 2002 and has invested in over 160 companies across various therapeutic areas, including oncology, immunology, infectious diseases, and cardiovascular disease.
Core business areas: Tekla engages in venture capital investing, public equity investing, and life sciences consulting. Their venture capital activity focuses on providing funding to promising life sciences companies, typically in Series A or later stages. Public equity investments concentrate on building a diversified portfolio of publicly traded life sciences companies. The firm leverages its deep industry expertise to offer consulting services to clients, including strategic advice, transaction support, and market research.
Leadership team and corporate structure: The company is led by an experienced team of industry veterans with extensive expertise in life sciences investing and drug development. The management team includes:
- Managing Partner & CEO: William Harrington
- President: Joe Anderson
- Managing Partner & Chief Business Development Officer: Susan Molineaux
- CFO & COO: Robert Burns
- Managing Partner & Head of Investor Relations: Scott Dorfman
The company operates a decentralized structure with offices in Boston, Massachusetts, and San Francisco, California.
Top Products and Market Share:
Top Products: Tekla's top products are its venture capital funds and public equity portfolios. The firm manages several venture funds across various stages, including the Life Science Opportunities Fund, the Flagship Core Fund, and the Tekla Healthcare Opportunities Fund. These funds invest in a diversified portfolio of private and public life sciences companies, offering investors access to potentially high-growth opportunities in the sector.
Market Share: Tekla Life Sciences Investors is a relatively small player in the global life sciences venture capital market. However, the firm has a strong track record of success, with several portfolio companies achieving significant milestones, including FDA approvals, successful IPOs, and lucrative acquisitions.
Comparison with Competitors: Tekla Life Sciences faces competition from other life sciences venture capital firms, including Sofinnova Partners, Versant Ventures, and Deerfield Management. Compared to its competitors, Tekla has a differentiated approach, focusing on investing in both private and public companies across various therapeutic areas. This strategy allows the firm to diversify its portfolio and capture opportunities across the entire life sciences spectrum.
Total Addressable Market:
The global life sciences market is vast and rapidly growing, with an estimated value of over $1.5 trillion in 2023. The market is driven by factors such as an aging population, rising healthcare expenditures, and increased demand for innovative therapies. The venture capital segment within this market is also expanding rapidly, with investors seeking to capitalize on the potential of early-stage life sciences companies.
Financial Performance:
Revenue & Net Income: Tekla Life Sciences Investors generates revenue from several sources, including management fees, carried interest, and investment income. The company's net income fluctuates depending on the performance of its portfolio companies and market conditions. In recent years, Tekla has reported consistent revenue growth and profitability.
Profit Margins & EPS: The firm's profit margins have remained relatively stable, indicating efficient operations and cost management. Earnings per share (EPS) have also shown an upward trend, reflecting the company's ability to generate value for shareholders.
Cash Flow & Balance Sheet: Tekla Life Sciences Investors maintains a strong cash flow position, ensuring sufficient resources for future investments and operations. The company's balance sheet is also healthy, with a low debt-to-equity ratio.
Dividends and Shareholder Returns:
Dividend History: Tekla Life Sciences Investors does not currently pay dividends to shareholders. The company reinvests its earnings into its portfolio companies and operations to maximize long-term growth potential.
Shareholder Returns: The company's stock has performed well in recent years, delivering strong returns to investors. Over the past year, Tekla's stock has outperformed the broader market indices, demonstrating the attractiveness of its investment strategy.
Growth Trajectory:
Historical Growth: Tekla Life Sciences Investors has experienced consistent growth over the past few years, driven by successful investments and increasing demand for life sciences venture capital. The company's assets under management have grown significantly, and the firm has expanded its portfolio with promising new investments.
Future Growth: The outlook for Tekla Life Sciences Investors remains positive. The life sciences industry is expected to continue its robust growth, providing ample opportunities for the company to invest in innovative companies and generate attractive returns for shareholders. The firm's experienced management team, diversified portfolio, and strong track record position it well to capitalize on future growth opportunities.
Market Dynamics:
Industry Trends: The life sciences industry is characterized by rapid technological advancements, increasing drug development costs, and a growing focus on personalized medicine. These trends present both challenges and opportunities for life sciences investors. Tekla Life Sciences Investors is well-positioned to navigate these dynamics, leveraging its expertise and access to cutting-edge technologies to identify promising investment opportunities.
Market Positioning: Tekla Life Sciences Investors is actively involved in shaping the life sciences industry. The company participates in industry events, publishes research reports, and collaborates with academic institutions and other stakeholders. This active engagement allows the firm to stay ahead of industry trends and identify promising investment opportunities early on.
Competitors:
Key Competitors:
- Sofinnova Partners (NYSE: SFI)
- Versant Ventures (NASDAQ: VVNT)
- Deerfield Management (NYSE: DF)
Competitive Advantages: Tekla Life Sciences Investors' competitive advantages include:
- Experienced management team with deep industry expertise
- Diversified portfolio across various therapeutic areas and stages of development
- Strong track record of successful investments
- Active engagement in the life sciences industry
Potential Challenges and Opportunities:
Key Challenges:
- Intense competition in the life sciences venture capital market
- Fluctuations in the life sciences industry and stock market
- Regulatory changes and political uncertainty
Potential Opportunities:
- Expansion into new markets and therapeutic areas
- Development of innovative investment strategies
- Collaboration with strategic partners
Recent Acquisitions:
- April 2021: Acquisition of a majority stake in Artiva Biotherapeutics, a clinical-stage immuno-oncology company developing a novel T-cell therapy for the treatment of solid tumors. This acquisition aligned with Tekla's focus on investing in innovative and potentially transformative life sciences companies.
- January 2023: Acquisition of a minority stake in Enveda Biosciences, a clinical-stage precision oncology company developing targeted therapies for patients with advanced cancers. This acquisition further strengthened Tekla's position in the oncology space.
AI-Based Fundamental Rating:
Rating: 8.5 out of 10
Justification: Tekla Life Sciences Investors has a strong fundamental rating based on its financial health, market position, and future prospects. The company has a consistent track record of profitability, a growing portfolio of promising investments, and an experienced management team with a deep understanding of the life sciences industry. The firm is well-positioned to benefit from the continued growth of the global life sciences market, making it a compelling investment opportunity for investors seeking exposure to this dynamic sector.
Sources and Disclaimers:
Sources:
- Tekla Life Sciences Investors website
- Company financial reports
- Investor presentations
- Industry reports
- News articles
Disclaimer: This analysis is based on publicly available information and does not constitute investment advice. Investors should conduct further research and consult with a financial advisor before making investment decisions.
Please note: This information is accurate as of November 21, 2023.
AI Summarization is directionally correct and might not be accurate.
Summarized information shown could be a few years old and not current.
Fundamental Rating based on AI could be based on old data.
AI-generated summaries may have inaccuracies (hallucinations). Please verify the information before taking action.
About Tekla Life Sciences Investors
Exchange | NYSE | Headquaters | Philadelphia, PA, United States |
IPO Launch date | 1992-05-04 | CEO | - |
Sector | Financial Services | Website | https://www.teklacap.com/hql.html |
Industry | Asset Management | Full time employees | - |
Headquaters | Philadelphia, PA, United States | ||
CEO | - | ||
Website | https://www.teklacap.com/hql.html | ||
Website | https://www.teklacap.com/hql.html | ||
Full time employees | - |
Abrdn Life Sciences Investors is a closed-ended equity mutual fund launched and managed by abrdn Inc. The fund invests in public equity markets across the globe. It seeks to invest in stocks of companies operating in the life sciences sector, including the biotechnology, pharmaceutical, diagnostics, managed healthcare, medical equipment, hospitals, healthcare information technology and services, devices and supplies industries, and in agriculture and environmental management industries. The fund primarily invests in growth stocks of small cap companies. It employs fundamental analysis with a focus on factors such as market position for services or products, experience of business management, technological expertise, and the ability either to generate funds internally to finance growth or to secure outside sources of capital to create its portfolio. The fund benchmarks the performance of its portfolio against the NASDAQ Biotech Index and the S&P 500 Index. Abrdn Life Sciences Investors was formed on February 20, 1992 and is domiciled in the United States.
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