ATYR
aTyr Pharma, Inc. (ATYR)
Healthcare • Biotechnology • $0.49 • MCap: 47,623,476
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https://atyrpharma.com • aTyr Pharma, Inc., a clinical stage biotechnology company, engages in the discovery and development of product candidates that translate tRNA synthetase biology into new therapies for fibrosis and inflammation in the United States. Its lead therapeutic candidate efzofitimod, a selective modulator of NRP2 that is in Phase 3 clinical trial for the treatment of pulmonary sarcoidosis; Phase 2 clinical trial to treat Sarcoidosis and systemic sclerosis- interstitial lung disease (ILDs); and treatment of other ILDs, such as chronic hypersensitivity pneumonitis (CHP) and connective tissue disease related ILD. The company is developing ATYR0101, a fusion protein derived from a domain of aspartyl-tRNA synthetase, which is in preclinical development for the treatment of fibrosis; and ATYR0750, a domain of alanyl-tRNA synthetase for the treatment of liver disorders. It has collaboration and license agreement with Kyorin Pharmaceutical Co., Ltd. for the development and commercialization of efzofitimod for ILDs in Japan. aTyr Pharma, Inc. was incorporated in 2005 and is headquartered in San Diego, California.
Buy Decision Core
Total Score
30
Business Quality
1
Financial Strength
10
Growth Outlook
1
Momentum
2
Price Action
Current
0.49
52W High
6.03
52W Low
0.40
Above 50DMA
0.51 (-5.23%)
Above 200DMA
0.74 (-34.52%)
Relative Strength
Relative Strength
-0.52
RS 3M
-0.4
RS 6M
-0.43
RS 9M
-0.49
RS 12M
-0.9
Fundamentals
Revenue Growth
0%
Earnings Growth
0%
ROE
-1.06%
ROA
-0.52%
Valuation
PE (Fwd)
-0.77
PEG
0
P/B
0.82
Upside
488.25%
Risk
Beta
0.52
Short %
0.10
Risk Score
7.00
Analyst
Rating
none
Target
2.86
Beta
0.52
Analysts
0
Total Score
30
Upside
488.25%
Relative Strength
-0.52
Beta
0.52
Why Buy?
- PEG Ratio below 1 (attractive valuation)
- Trading below book value
- 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
11
11
Risk
3
3
Momentum
2
2
Technical
52W High: 6.03
52W Low: 0.40
Above 50DMA: -5.23%
Above 200DMA: -34.52%
Valuation
Forward PE: -0.77
PEG: 0
P/B: 0.82
Upside: 488.25%
Risk
Beta: 0.52
Short Float: 0.10%
ROE: -1.06%
ROA: -0.52%