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INDICATIVE · SAMPLE DATA
PHVS$29.6858

Pharvaris NV

Biotechnology & Medical ResearchVerified

Pharvaris maintains a strong liquidity position with EUR 291.7 million in cash and equivalents, representing 96.7% of total assets. The company's current ratio of 10.11 indicates a robust ability to cover short-term liabilities, and its debt-to-equity ratio of 0.0 suggests no material leverage risk. However, negative operating and free cash flows of EUR -137.1 million and EUR -175.4 million, respectively, highlight ongoing cash burn. Profitability metrics are negative, with a return on equity of -64.77% and return on assets of -58.28%, both significantly below industry norms for biotechnology firms. The company reported a net loss of EUR 175.7 million, driven by operating losses of EUR 169.8 million. These results suggest operational inefficiencies or high R&D costs typical in early-stage biotech firms. Pharvaris operates as a single-segment entity, with no disclosed geographic revenue breakdown. This lack of diversification increases exposure to regional regulatory or market risks, though the company's EUR 291.7 million cash position provides a buffer against short-term volatility. The company's growth trajectory is uncertain, with no disclosed revenue history and negative operating cash flows. Analysts have assigned a mean price target of EUR 46.57, implying a 57% upside from the current market price of EUR 29.68. However, the absence of revenue growth data and ongoing losses suggest a high-risk investment profile. Risk factors include the absence of immediate liquidity or dilution flags, but the company's negative cash flows and high price-to-book ratio of 7.16 indicate valuation concerns. No dilution risk is currently flagged, and the company has not issued additional shares in the latest reporting period. Recent events include the publication of the latest financial report (HA-latest), which details the company's ongoing losses and strong liquidity position. No material regulatory or litigation events were disclosed in the latest filings.

30-day price · PHVS+1.80 (+6.5%)
Low$26.53High$33.33Close$29.68As of22 May, 00:00 UTC
Profile
CompanyPharvaris NV
TickerPHVS.O
SectorHealthcare
BusinessPharmaceuticals & Medical Research
Industry groupPharmaceuticals & Medical Research
IndustryBiotechnology & Medical Research
AI analysis

Business. Pharvaris NV is a biotechnology company focused on healthcare diagnostics, developing and commercializing diagnostic solutions for infectious diseases and other medical conditions.

Classification. Pharvaris is classified under the Healthcare economic sector, within the Pharmaceuticals & Medical Research business sector, and the Biotechnology & Medical Research industry, with a confidence level of 0.92.

Pharvaris maintains a strong liquidity position with EUR 291.7 million in cash and equivalents, representing 96.7% of total assets. The company's current ratio of 10.11 indicates a robust ability to cover short-term liabilities, and its debt-to-equity ratio of 0.0 suggests no material leverage risk. However, negative operating and free cash flows of EUR -137.1 million and EUR -175.4 million, respectively, highlight ongoing cash burn. Profitability metrics are negative, with a return on equity of -64.77% and return on assets of -58.28%, both significantly below industry norms for biotechnology firms. The company reported a net loss of EUR 175.7 million, driven by operating losses of EUR 169.8 million. These results suggest operational inefficiencies or high R&D costs typical in early-stage biotech firms. Pharvaris operates as a single-segment entity, with no disclosed geographic revenue breakdown. This lack of diversification increases exposure to regional regulatory or market risks, though the company's EUR 291.7 million cash position provides a buffer against short-term volatility. The company's growth trajectory is uncertain, with no disclosed revenue history and negative operating cash flows. Analysts have assigned a mean price target of EUR 46.57, implying a 57% upside from the current market price of EUR 29.68. However, the absence of revenue growth data and ongoing losses suggest a high-risk investment profile. Risk factors include the absence of immediate liquidity or dilution flags, but the company's negative cash flows and high price-to-book ratio of 7.16 indicate valuation concerns. No dilution risk is currently flagged, and the company has not issued additional shares in the latest reporting period. Recent events include the publication of the latest financial report (HA-latest), which details the company's ongoing losses and strong liquidity position. No material regulatory or litigation events were disclosed in the latest filings.
Key takeaways
  • Pharvaris maintains a strong liquidity position with EUR 291.7 million in cash and equivalents.
  • The company is unprofitable, with a net loss of EUR 175.7 million and negative returns on equity and assets.
  • Analysts project a 57% upside in share price, but the company has no disclosed revenue growth or positive cash flows.
  • No immediate dilution or liquidity risks are flagged, but the high price-to-book ratio suggests valuation concerns.
  • The company operates as a single segment with no geographic diversification, increasing exposure to regional risks.
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Financial snapshot
PeriodHA-latest
CurrencyEUR
Revenue
Gross profit
Operating income-$169.8M
Net income-$175.7M
R&D
SG&A
D&A
SBC
Operating cash flow-$137.1M
CapEx-$164.6k
Free cash flow-$175.4M
Total assets$301.5M
Total liabilities$30.2M
Total equity$271.3M
Cash & equivalents$291.7M
Long-term debt$776.8k
Valuation
Market price$29.68
Market cap$1.94B
Enterprise value$1.65B
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B7.2
P/Tangible book7.2
Tangible book$271.3M
Net cash$290.9M
Current ratio10.1
Debt/Equity0.0
ROA-58.3%
ROE-64.8%
Cash conversion78.0%
CapEx/Revenue
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskLow
  • No immediate filing-based liquidity or dilution flags were detected.
Industry benchmarks
Activity: Healthcare Diagnostics · cohort 170 companies
MetricPHVSActivity
Op margin-227.5% medp25 -1250.6% · p75 -3.5%
Net margin-194.5% medp25 -1233.8% · p75 0.8%
Gross margin53.0% medp25 25.9% · p75 75.7%
CapEx / revenue-8.2% medp25 -35.2% · p75 -2.5%
Debt / equity0.0%1.2% medp25 0.0% · p75 17.4%bottom quartile
Observations
IR observations
Mean price target46.57 EUR
Median price target43.50 EUR
High price target74.00 EUR
Low price target33.00 EUR
Mean recommendation1.57 (1=strong buy, 5=strong sell)
Strong-buy count7.00
Buy count6.00
Hold count1.00
Sell count0.00
Strong-sell count0.00
Mean EPS estimate-2.76 EUR
Last actual EPS-2.97 EUR
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod financials
no public URL
2026-05-23 00:40 UTC#16ebaffd
Source: analysis-pipeline (hybrid)Generated: 2026-05-28 23:39 UTCJob: c076959e