Corvus Pharmaceuticals, Inc.

NGM: CRVS
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📈 ZcoreAI Score

Our AI model analyzes Corvus Pharmaceuticals, Inc.'s price action across multiple timeframes using regression channels and statistical scoring.

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About Corvus Pharmaceuticals, Inc.

Healthcare Biotechnology
Corvus Pharmaceuticals, Inc., a clinical stage biopharmaceutical company, engages in the development of product candidates that precisely target proteins that are critical to immune cell maturation and function in the United States. The company's lead product candidate is soquelitinib (CPI-818), a selective covalent inhibitor of interleukin 2 inducible T cell kinase (ITK), which is in a multi-center Phase 1b/2 clinical trial for the treatment of peripheral T cell lymphoma, atopic dermatitis, hidradenitis suppurativa, autoimmune lymphoproliferative syndrome, and solid tumors monotherapy, and asthma, diseases. It also developing ciforadenant (CPI-444), an oral small molecule antagonist of the A2A receptor that is in Phase 2 clinical trial for the treatment of first line renal cell cancer; and mupadolimab (CPI-006), a humanized monoclonal antibody, which is in Phase 1 clinical trial for the treatment of non-small cell lung cancer. It has a license agreement with Monash University to research, develop, and commercialize certain antibodies directed to CXCR2 for the treatment of human diseases; and Vernalis (R&D) Limited to develop, manufacture, and commercialize products containing certain adenosine receptor antagonists, including ciforadenant, as well as license agreement with Scripps for the development and commercialization of mupadolimab. Corvus Pharmaceuticals, Inc. was incorporated in 2014 and is based in South San Francisco, California.

📊 Fundamental Analysis

Corvus Pharmaceuticals, Inc. demonstrates a profit margin of 0.0%, which is below the sector average, suggesting competitive pressure.

Return on Equity (ROE) is -32.6%, which indicates that capital utilization is currently under pressure.

At a current price of $15.10, CRVS currently sits at the 51st percentile of its 52-week range (Range: $2.98 - $26.95).

🏥 Financial Health

🔴 Profit Margin Weak
🔴 Debt/Equity Elevated
🔴 Return on Equity Weak
⚠️ Beta (Risk) Moderate Volatility

Key Financials

Market Cap
$1.27B
Trailing P/E
--
Forward P/E
-17.92
Beta (5Y)
0.97
52W High
$26.95
52W Low
$2.98
Avg Volume
3.40M
Day High
Day Low
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