Replimune Group, Inc. (NASDAQ: REPL)

Sector: Healthcare Industry: Biotechnology CIK: 0001737953
P/B 3.47
P/E -2.94
P/S 0.00
Market Cap 912.85 Mn
ROIC (Qtr) -85.04
Div Yield % 0.00
Rev 1y % (Qtr) 0.00
Total Debt (Qtr) 76.32 Mn
Debt/Equity (Qtr) 0.29

About

Replimune Group, Inc. (REPL), a clinical-stage biotechnology company, is dedicated to transforming the lives of cancer patients through the development of novel oncolytic immunotherapies. The company operates in the highly competitive markets that address cancer, competing with numerous pharmaceutical, biopharmaceutical, and biotechnology companies, as well as universities and research institutions. However, Replimune's proprietary RPx platform, which is designed to maximize the immune response against cancer, provides a significant competitive...

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Stock Price Chart

Analysis

Pros

  • Healthy cash reserves of 104M provide 25.67x coverage of short-term debt 4.05M, demonstrating strong liquidity position and minimal refinancing risk.
  • Strong tangible asset base of 389.45M provides 5.10x coverage of total debt 76.32M, indicating robust asset backing and low credit risk.
  • Short-term investments of 221.35M provide solid 5.21x coverage of other current liabilities 42.45M, indicating strong liquidity.
  • Tangible assets of 389.45M provide robust 9.18x coverage of other current liabilities 42.45M, indicating strong asset backing.
  • Cash reserves of 104M provide solid 110.52x coverage of other non-current liabilities 941000, indicating strong liquidity.

Cons

  • Operating cash flow of (262.67M) barely covers its investment activities of 95.20M, with a coverage ratio of -2.76, indicating heavy reliance on external financing for growth which may not be sustainable in a tighter credit environment.
  • Investment activities of 95.20M provide weak support for R&D spending of 217.70M, which is 0.44x, suggesting potentially insufficient investment in innovation relative to other capital deployment.
  • The company's operating cash flow of (262.67M) shows concerning coverage of stock compensation expenses of 34.02M, with a -7.72 ratio indicating potential earnings quality issues.
  • Operating cash flow of (262.67M) provides minimal -561.26x coverage of tax expenses of 468000, suggesting potential tax planning inefficiencies or unsustainable tax positions.
  • Free cash flow of (269.69M) provides weak coverage of capital expenditures of 7.02M, with a -38.43 ratio suggesting additional external financing needs for growth initiatives.

Peer Comparison

Companies in the Biotechnology
S.No. Ticker Company Market Cap P/E P/S Total Debt (Qtr)
1 SMMT Summit Therapeutics Inc. 1,349.40 Bn -1,464.17 0.00 0.01 Bn
2 ONC BeOne Medicines Ltd. 437.43 Bn 6,381.20 87.97 1.90 Bn
3 VRTX Vertex Pharmaceuticals Inc / Ma 116.09 Bn 31.59 9.90 1.83 Bn
4 REGN Regeneron Pharmaceuticals, Inc. 78.10 Bn 17.06 5.48 2.71 Bn
5 ALNY Alnylam Pharmaceuticals, Inc. 55.87 Bn 1,282.42 17.40 3.21 Bn
6 ARGX Argenx Se 52.85 Bn 35.08 27,559.65 -
7 BNTC Benitec Biopharma Inc. 41.75 Bn -998.33 0.00 0.00 Bn
8 INSM INSMED Inc 37.80 Bn -31.93 84.56 0.74 Bn

Industry Comparisons

Current Valuation

Metric Value Industry Percentile
EV to Assets 2.29 12.31
EV to Cash from Ops. -3.39 23.25
EV to Debt 11.66 738.44
EV to EBIT -2.95 -9.16
EV to EBITDA -2.83 6.95
EV to Free Cash Flow [EV/FCF] -3.30 21.90
EV to Market Cap 0.98 65.67
EV to Revenue 0.00 227.32
Price to Book Value [P/B] 3.47 22.34
Price to Earnings [P/E] -2.94 -11.77

Dividend Metrics

Metric Value Industry Percentile
Dividend Coverage Ratio 0.00 -11.94
Dividend Payout Ratio % 0.00 0.16
Dividend per Basic Share 0.00 0.01
FCF Dividend Payout Ratio % 0.00 -0.14
Interest Coverage -37.89 841.00

Growth Metrics

Metric Value Industry Percentile
Capex Growth (1y) % 2.70 -27.13
Cash and Equivalents Growth (1y) % -9.72 734.65
Dividend Growth (1y) % 0.00 0.01
EBIAT Growth (1y) % -47.04 -46.93
EBITDA Growth (1y) % -38.73 -1.68
EBIT Growth (1y) % -47.10 -56.45
EBT Growth (1y) % -45.71 -12.70
EPS Growth (1y) % -13.44 -28.31
FCF Growth (1y) % -43.22 -31.90
Gross Profit Growth (1y) % 0.00 226.84

Liquidity Ratios

Metric Value Industry Percentile
Asset Utilization Ratio 0.00 0.14
Cash Payout Ratio 0.00 0.00
Cash Ratio 1.97 3.85
Current Ratio 6.31 7.27
Debt to Equity Ratio 0.29 0.40
Interest Cover Ratio -37.89 841.00
Times Interest Earned -37.89 841.00

Profitability

Metric Value Industry Percentile
EBITDA Margin % 0.00 -18,234.31
EBIT Margin % 0.00 -18,580.80
EBT Margin % 0.00 -19,488.74
Gross Margin % 0.00 -7.59
Net Profit Margin % 0.00 -19,439.22