Apellis Pharmaceuticals, Inc.

  • Moat Score
  • Safety Score
  • Market Cap $2.42B
  • PE -12
  • Debt $93.34M
  • Cash $412.61M
  • EV $2.10B
  • FCF -$88.27M

Earnings

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Sales & Net Margins

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Earnings-$197.88M
EBIT-$164.98M
ROE-87%
ROA-19%
FCF-$88.27M
Equity$228.54M
Growth Stability1
PE-12.21
PB10.58
P/FCF-27.38
P/S3.09
Price/Cash0.17
Debt/Equity0.41
Debt/FCF-1.06
Net Margins-25%
Op. Margins-21%
Sales Growth YoY45%
Sales Growth QoQ8%
Sales CAGR4%
Equity CAGR20%
Earnings Growth YoY-59%
Earnings Growth QoQ-37%
Sales CAGR 5Y62%
Equity CAGR 5Y11%
Earnings CAGR 3Y178%
Sales CAGR 3Y178%
Equity CAGR 3Y-16%
Market Cap$2.42B
Revenue$781.37M
Assets$885.05M
Total Debt$93.34M
Cash$412.61M
Shares Outstanding123.67M
EV2.1B
Moat Score2%
Safety Score65%
Working Capital603.45M
Current Ratio4.25
Shares Growth 3y9%
Equity Growth QoQ-4%
Equity Growth YoY17%

Assets & ROA

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Stockholders Equity & ROE

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Apellis Pharmaceuticals Inc is a clinical-stage biopharmaceutical company. It focused on the development of novel therapeutic compounds to treat disease through the inhibition of the complement system, which is an integral component of the immune system, at the level of C3 the central protein in the complement cascade.

SEC Filings

Direct access to Apellis Pharmaceuticals, Inc. (APLS) Annual Reports (10K) and Quarterly Reports (10Q) from the SEC website.

  • 2024
    • 10-K Dec 31
    • 10-Q Sep 30
    • 10-Q Jun 30
    • 10-Q Mar 31
  • 2023
    • 10-K Dec 31
    • 10-Q Sep 30
    • 10-Q Jun 30
    • 10-Q Mar 31
  • 2022
    • 10-K Dec 31
    • 10-Q Sep 30
    • 10-Q Jun 30
    • 10-Q Mar 31

Sector Comparison

How does Apellis Pharmaceuticals, Inc. compare to its competitors?

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Peter Lynch's Chart

This chart shows the current pricing of Apellis Pharmaceuticals, Inc. compared to its past. The addition of the earnings trend line provides further insights into the company's earnings power.

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Apellis Pharmaceuticals, Inc. Discounted Cash Flow

Fully customizable DCF calculator online for Apellis Pharmaceuticals, Inc..

= -$883M
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fcf-$88M-$88M-$88M-$88M-$88M-$88M-$88M-$88M-$88M-$88M-$88M-$883M
DCF-$80M-$73M-$66M-$60M-$55M-$50M-$45M-$41M-$37M-$34M-$340M
Value-$883M

Competitiveness and MOAT

High margins render the company resilient under dire circumstances, hence able to drive competitors out or acquire them. ROE and ROA measure the average flow generated by each invested dollar. Their marginal value is a forecast of future growth, and it is considered by Buffett and Munger the most important single indicator.

Years12/201512/201612/201712/201812/201912/202012/202112/202212/202312/2024TTM
Net Margins------138%-1K%-865%-133%-25%-25%
ROA--99%-28%-63%-74%-22%-61%-78%-66%-19%-19%
ROE--114%-34%-79%-890%-169%-376%-384%-272%-87%-87%

Safety and Stability

Being debt the number one cause of investment losses and company death, the ratio Debt/FCF is of utmost importance to guarantee safety. On the other hand the Graham’s stability measures the drawdown of earnings, hence indicating the reliability of the flow generated by the company.

Years12/201512/201612/201712/201812/201912/202012/202112/202212/202312/2024TTM
Debt over FCF------2.16-0.34-0.21-0.17-1.06-1.06
Debt over Equity--0.180.014.171.750.950.620.530.410.41
Growth Stability----------1

Growth

Growth can be dangerous when forecasting, simply projecting the current growth is in general wrong. A company passes through multiple phases, from being young and unprofitable, to the first periods of profitability and high growth, until it arrives at a period of regime with limited growth. Identifying in which phase the company is in may help forecasting.

Years12/201512/201612/201712/201812/201912/202012/202112/202212/202312/2024CAGR 5Y
Revenue YoY growth-------73%13%426%97%62%
Earnings YoY growth--42%88%150%139%13%116%-13%-19%-63%-
Equity YoY growth--32%526%8%-79%498%-3%-14%15%17%11%
FCF YoY growth------22%240%-9%16%-85%-