ALKS

Alkermes plc (ALKS)
Healthcare • Drug Manufacturers - Specialty & Generic • $46.10 • MCap: 7,733,886,464 🌐
https://www.alkermes.com • Alkermes plc, a biopharmaceutical company, engages in the research, development, and commercialization of pharmaceutical products to address unmet medical needs of patients in therapeutic areas in the United States, Ireland, and internationally. The company has a portfolio of proprietary commercial products for the treatment of opioid dependence, alcohol dependence, schizophrenia, bipolar I, and a pipeline of clinical and preclinical product candidates in development for neurological disorders. Its marketed products include ARISTADA, an intramuscular injectable suspension for the treatment of schizophrenia; ARISTADA INITIO for the treatment of schizophrenia in adults; VIVITROL for the treatment of alcohol and prevention of opioid dependence; LYBALVI, an oral atypical antipsychotic drug candidate for the treatment of adults with schizophrenia and bipolar I disorder; and LUMRYZ, an extended-release oral suspension product for the treatment of cataplexy or EDS in pediatric patients. The company also offers proprietary technology platforms to third parties to enable them to develop, commercialize, and manufacture products. It has collaboration agreements primarily with Janssen Pharmaceutica N.V., Janssen Pharmaceutica Inc, and Janssen Pharmaceutica International. Alkermes plc was founded in 1987 and is headquartered in Dublin, Ireland.
Buy Decision Core
Total Score
49
Business Quality
15
Financial Strength
14
Growth Outlook
4
Momentum
4
Price Action
Current
46.10
52W High
55.22
52W Low
26.52
Above 50DMA
50.57 (-8.84%)
Above 200DMA
37.71 (22.25%)
Relative Strength
Relative Strength
0.4
RS 3M
0.08
RS 6M
0.61
RS 9M
0.56
RS 12M
0.66
Fundamentals
Revenue Growth
0.27%
Earnings Growth
-0.99%
ROE
0.04%
ROA
0.04%
Valuation
PE (Fwd)
25.22
PEG
1.96
P/B
4.27
Upside
21.48%
Risk
Beta
0.26
Short %
0.12
Risk Score
3.00
Analyst
Rating
none
Target
56.00
Beta
0.26
Analysts
0


Total Score
49
Upside
21.48%
Relative Strength
0.4
Beta
0.26
Why Buy?
  • Trading above 200 DMA
  • Analyst upside exceeds 15%
Key Risks
  • Earnings growth is negative
Score Breakdown
Business
15
Financial
14
Growth
4
Valuation
7
Risk
2
Momentum
4
Technical
52W High: 55.22
52W Low: 26.52
Above 50DMA: -8.84%
Above 200DMA: 22.25%
Valuation
Forward PE: 25.22
PEG: 1.96
P/B: 4.27
Upside: 21.48%
Risk
Beta: 0.26
Short Float: 0.12%
ROE: 0.04%
ROA: 0.04%