INVA

Innoviva, Inc. (INVA)
Healthcare • Biotechnology • $21.33 • MCap: 1,540,996,224 🌐
https://www.inva.com • Innoviva, Inc. operates as a biopharmaceutical company in the United States and internationally. Its royalty portfolio includes RELVAR/BREO ELLIPTA, a once-daily combination medicine consisting of a LABA, vilanterol, and an inhaled corticosteroid, and fluticasone furoate; ANORO ELLIPTA, a once-daily medicine combining a long-acting muscarinic antagonist, umeclidinium bromide, and ABA, VI. The company also markets GIAPREZA for increasing blood pressure in adults with septic or other distributive shock; XACDURO, a co-packaged for intravenous use for the treatment of hospital-acquired and ventilator-associated bacterial pneumonia caused by Acinetobacter; XERAVA for the treatment of complicated intra-abdominal infections in adults; ZEVTERA an advanced-generation cephalosporin antibiotic for the treatment of staphylococcus aureus bacteremia, as well as with right-sided endocarditis, acute bacterial skin and skin structure infections, and community-acquired bacterial pneumonia; NUZOLVENCE for the treatment of uncomplicated urogenital gonorrhea in adults and adolescents. In addition, the company develops bacteriophages with potential use in a range of infectious and other serious diseases. It has a strategic partnership with Sarissa Capital Management LP; and LABA Collaboration Agreement with Glaxo Group Limited to develop and commercialize once-daily products for the treatment of chronic obstructive pulmonary disease and asthma. The company was formerly known as Theravance, Inc. and changed its name to Innoviva, Inc. in January 2016. Innoviva, Inc. was incorporated in 1996 and is headquartered in Burlingame, California.
Buy Decision Core
Total Score
71
Business Quality
25
Financial Strength
20
Growth Outlook
1
Momentum
3
Price Action
Current
21.33
52W High
24.24
52W Low
16.67
Above 50DMA
21.46 (-0.62%)
Above 200DMA
21.78 (-2.06%)
Relative Strength
Relative Strength
-0.01
RS 3M
-0.05
RS 6M
-0.03
RS 9M
0.02
RS 12M
0.06
Fundamentals
Revenue Growth
0.19%
Earnings Growth
0%
ROE
0.37%
ROA
0.07%
Valuation
PE (Fwd)
9.65
PEG
0.25
P/B
1.26
Upside
64.09%
Risk
Beta
0.33
Short %
0.13
Risk Score
6.00
Analyst
Rating
buy
Target
35.00
Beta
0.33
Analysts
0


Total Score
71
Upside
64.09%
Relative Strength
-0.01
Beta
0.33
Why Buy?
  • PEG Ratio below 1 (attractive valuation)
  • Analyst upside exceeds 15%
Key Risks
Score Breakdown
Business
25
Financial
20
Growth
1
Valuation
16
Risk
2
Momentum
3
Technical
52W High: 24.24
52W Low: 16.67
Above 50DMA: -0.62%
Above 200DMA: -2.06%
Valuation
Forward PE: 9.65
PEG: 0.25
P/B: 1.26
Upside: 64.09%
Risk
Beta: 0.33
Short Float: 0.13%
ROE: 0.37%
ROA: 0.07%