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Rhythm Pharmaceuticals, Inc. (RYTM)

Infravalorada
HealthcareBiotechnologyUnited States

Fundamental

35

Precio

$95.22

Capitalización Bursátil

$6.53B

Parte 1 · Cuánto vale la empresa

Resumen

Rhythm Pharmaceuticals, Inc., a commercial-stage biopharmaceutical company, focuses on the rare neuroendocrine diseases in the United States and internationally. The company's lead product candidate is IMCIVREE (setmelanotide), a rare melanocortin-4 receptor for the treatment of pro-opiomelanocortin (POMC), proprotein convertase subtilisin/kexin type 1, leptin receptor (LEPR) deficiency obesity, Bardet-Biedl and Alström syndrome, Prader-Willi syndrome, and hypothalamic obesity. It is in Phase 3 clinical trials for treating acquired hypothalamic obesity, congenital hypothalamic obesity, pro-opiomelanocortin (POMC) and LEPR insufficiency obesities, SRC1 deficiency obesity, and SH2B1 deficiency obesity; and in phase 2 clinical trails for the treatment of Prader-Willi syndrome and MC4R deficiency. The company is also developing bivamelagon, an investigational oral small molecule MC4R agonist that is in phase 2 clinical trial for the treatment of MC4R pathway diseases; and RM-718, a next generation MC4R peptide agonist that is in phase 1 clinical trial for the treatment of hypothalamic obesity. The company was formerly known as Rhythm Metabolic, Inc. and changed its name to Rhythm Pharmaceuticals, Inc. in October 2015. Rhythm Pharmaceuticals, Inc. was founded in 2008 and is headquartered in Boston, Massachusetts.

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Direct competitors

Who this company fights with for the same customers

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No competitor list for this company yet.

Balance y Liquidez

Ingresos

$240M

Últimos 12 meses (hasta 30/6/2026)

Beneficio Neto

$-205M

Últimos 12 meses (hasta 30/6/2026)

Flujo de Caja Libre

$-117M

Patrimonio Neto Total

$139M

Pasivo Total

$210M

Ratio de Liquidez

3.45

Cobertura de Intereses

10.86

Deuda/EBITDA

-

Beneficio Por Acción

Ingresos y Beneficio Neto

Flujo de Caja Libre

Desglose de Ingresos

Estado histórico

Márgenes en el tiempo

La deuda en el tiempo

Cuánto pesa la deuda

Cuadro de crecimiento

Crecimiento — Ingresos

Estimación de Valor Justo

Caso generalInfravalorado

Valor Justo

$138.59

Precio Actual

$95.22

Margen de Seguridad

+31.3%

Rango de Valor Justo

$131.66 - $145.52

Dispersión entre los métodos de valoración utilizados, no un intervalo de confianza calibrado estadísticamente.

Métodos de Estimación

Precio objetivo de los analistas:$138.59
Flujo de caja descontado (DCF):Datos insuficientes para calcularlo
Múltiplo sobre beneficios (P/E):Datos insuficientes para calcularlo
Fórmula de crecimiento de Graham:Datos insuficientes para calcularlo
Valor de la capacidad de generar beneficios (EPV):Datos insuficientes para calcularlo
P/B justificado:Datos insuficientes para calcularlo
Descuento de dividendos (Gordon):Datos insuficientes para calcularlo
P/FFO, fondos de operaciones:Datos insuficientes para calcularlo
Beneficios de mitad de ciclo:Datos insuficientes para calcularlo
Múltiplo sobre ingresos:$13.78
Consenso de Analistas:Compra Fuerte (20B / 3H / 0S)
Última Sorpresa de Resultados:+12.85%

Métricas de Valoración

Ratio P/E

-

ROE

-141.3%

Ratio P/B

63.66

P/FCF

-

Margen Bruto

89.0%

ROIC

-50.5%

Radar de Rentabilidad

Creación de Valor (Ventaja Competitiva)

ROIC

-50.5%

WACC

16.4%

ROIC − WACC

-66.9 pp

El ROIC está por debajo del coste del capital: la empresa destruye valor por cada dólar invertido.

Criterios de Análisis Fundamental

Superado (10)

  • Price CAGR 14.49%
  • Gross Margin 89.0%
  • Debt/Equity ratio
  • Current Ratio
  • Interest Coverage
  • Low reliance on intangibles
  • Analyst Consensus 87% Buy
  • Earnings Surprise avg 4.8%
  • Net Margin Trend -85.6% vs -117.2%
  • Piotroski F-Score 6/9

Fallido (9)

  • EPS shows upward trend
  • ROIC -50.5%
  • P/B Ratio 63.66
  • Operating Margin -83.6%
  • Positive Free Cash Flow
  • Return on Tangible Assets
  • DCF valuation (Unknown)
  • ROE -80.5%
  • Share Dilution 5.2%

No disponible (8)

  • P/FCF NaN
  • Dividend Payout NaN%
  • CapEx intensity
  • Debt/EBITDA
  • Price below Graham Number
  • Revenue Growth 5Y (Finnhub)
  • PEG Ratio (need PE > 0 and growth > 0)
  • Earnings Quality (OCF/Net Income)

Piotroski F-Score

6/9

Señales mixtas: algunas áreas requieren atención

score
criteria

Calidad de los Beneficios

-

Baja calidad: investigue la contabilidad

Dilución de Acciones

5.2%

Emitiendo nuevas acciones, diluyendo la participación

Participaciones institucionales

Gobernanza

Equipo Directivo

NombreCargoEdad
Dr. David P. Meeker M.D.Chairman, President & CEO71
Mr. Hunter C. Smith M.B.A.CFO & Treasurer56
Dr. Alastair Garfield Ph.D.Chief Scientific Officer45
Mr. Yann MazabraudExecutive VP & Head of International52
Ms. Jennifer LeeExecutive VP & Head of North America50
Mr. Christopher P. GermanCorporate Controller & Principal Accounting Officer53
Mr. Joseph ShulmanChief Technical Officer50
Mr. David ConnollyHead of Investor Relations & Corporate Communications-
Mr. Jim FlahertySenior VP & General Counsel-
Ms. Sarah RyanVice President of Sales & Marketing-

Riesgo de Auditoría

8

Riesgo del Consejo

7

Riesgo de Compensación

9

Riesgo de Derechos del Accionista

8

Parte 2 · El precio y el momento de entrar

Esta parte no sirve para saber si la empresa vale: sirve para elegir cuándo comprarla, una vez que los fundamentales te han convencido. Dentro: análisis técnico, potencial, caídas históricas, exposición gamma.

Documentos

  • Informe anual (10-K)

    Un resumen anual del negocio, los resultados financieros y los riesgos de la empresa.

    Presentado el 2026-02-26

    Ver documento
  • Informe trimestral (10-Q)

    Una actualización del desempeño financiero de los últimos tres meses.

    Presentado el 2026-08-04

    Ver documento
  • Informe de hecho relevante (8-K)

    Un aviso sobre un hecho relevante, como un cambio de dirección o un anuncio importante.

    Presentado el 2026-08-04

    Ver documento

via SEC EDGAR

Historial de Resultados

via SEC EDGAR

Latest News

Recent headlines for RYTM, sourced from Markets Gazette.

  • 5/6/2026POSITIVE
    Rhythm Pharmaceuticals Analysts Boost Their Forecasts Following Upbeat Q1 Results

    Rhythm Pharmaceuticals (NASDAQ: RYTM) has seen analysts upgrade their Q1 forecasts following a strong earnings report. The company highlighted robust demand for its drug IMCIVREE, a key driver of the positive outlook. Furthermore, Rhythm Pharmaceuticals is advancing its strategic expansion plans, with potential launches anticipated in both European and Japanese markets. This dual approach of strong domestic performance and international growth initiatives positions the company favorably for sustained revenue increases and market share expansion, potentially leading to increased investor confidence and a higher stock valuation.

  • 3/2/2026POSITIVE
    Rhythm Pharmaceuticals Discloses 18.8% BMI Drop In Rare Obesity Patients

    Rhythm Pharmaceuticals has disclosed compelling Phase 3 clinical trial data, showcasing an impressive 18.8% reduction in Body Mass Index (BMI) among patients suffering from rare forms of obesity. This positive development has fueled investor optimism, leading to a notable surge in the company's shares. The demonstrated efficacy of the drug positions Rhythm Pharmaceuticals favorably ahead of the crucial FDA decision, which is anticipated by March 20. Analysts suggest that regulatory approval could unlock a substantial market for treating these rare conditions, offering new hope for patients and significant growth opportunities for the company. Investors will closely watch the FDA's verdict, which will be pivotal for the stock's trajectory.

  • 2/26/2026NEUTRAL
    Rhythm Pharma (RYTM) Earnings Call Transcript

    The market is keenly awaiting the earnings call transcript for Rhythm Pharmaceuticals (RYTM), but the specific content is currently unavailable. This lack of information prevents analysts from forming a precise judgment on the company's financial performance and future outlook. Investors will need to await the publication of details to assess the impact on revenues, costs, and management's guidance. The absence of concrete data makes it impossible to identify a clear trading signal, keeping the stock in a phase of uncertainty until further announcements.

via Markets Gazette