Maze Therapeutics (MAZE)


Market Price (9/20/2026): $22.5 | Market Cap: $1.3 BilSector: Health Care | Industry: Biotechnology

Maze Therapeutics (MAZE)


Market Price (9/20/2026): $22.5
Market Cap: $1.3 Bil
Sector: Health Care
Industry: Biotechnology

Investment Highlights Why It Matters Detailed financial logic regarding cash flow yields vs trend-riding momentum.

0

Cash is significant % of market cap
Net D/ENet Debt/Equity. Debt net of cash. Negative indicates net cash. Equity is taken as the Market Capitalization is -26%

Strong revenue growth
Rev Chg LTMRevenue Change % Last Twelve Months (LTM) is 700%

Megatrend and thematic drivers
Megatrends include Biotechnology & Genomics, and Precision Medicine. Themes include Genetics-based Drug Discovery, Targeted Therapies, Show more.

Weak multi-year price returns
3Y Excs Rtn is -30%

Meaningful short interest
Short Interest % of Basic SharesShort Interest % of Basic Shares = (Short Interest Quantity) / (Basic Shares Outstanding). A high fraction of short interest can indicate potential risk of a short squeeze. is 10%

Not profitable at operating income level
Op Inc LTMOperating Income, Last Twelve Months is -146 Mil, Op Mgn LTMOperating Margin = Operating Income / Revenue Reflects profitability before taxes and before impact of capital structure (interest payments). is -728%

Significant share based compensation
SBC/Rev LTMShare Based Compensation / Revenue (Sales), Last Twelve Months (LTM) is 131%

Not cash flow generative
CFO/Rev LTMCash Flow from Operations / Revenue (Sales), Last Twelve Months (LTM) is -533%, FCF/Rev LTMFree Cash Flow / Revenue (Sales), Last Twelve Months (LTM) is -534%

Yield minus risk free rate is negative
ERPEquity Risk Premium (ERP) = Total Yield - Risk Free Rate, Reflects the premium above risk free assets offered by the investment. is -14%

Significant short interest
Short Interest Days-to-CoverDTC = (Short Interest Share Quantity) / (Average Daily Trading Volume). Reflects how many days it would take to cover (close out) the short interest based on average volumes. High DTC can signify an increased risk of a short squeeze. is 16.05

Key risks
MAZE key risks include [1] its heavy dependence on the clinical and commercial success of its limited lead candidates, Show more.

0 Cash is significant % of market cap
Net D/ENet Debt/Equity. Debt net of cash. Negative indicates net cash. Equity is taken as the Market Capitalization is -26%
1 Strong revenue growth
Rev Chg LTMRevenue Change % Last Twelve Months (LTM) is 700%
2 Megatrend and thematic drivers
Megatrends include Biotechnology & Genomics, and Precision Medicine. Themes include Genetics-based Drug Discovery, Targeted Therapies, Show more.
3 Weak multi-year price returns
3Y Excs Rtn is -30%
4 Meaningful short interest
Short Interest % of Basic SharesShort Interest % of Basic Shares = (Short Interest Quantity) / (Basic Shares Outstanding). A high fraction of short interest can indicate potential risk of a short squeeze. is 10%
5 Not profitable at operating income level
Op Inc LTMOperating Income, Last Twelve Months is -146 Mil, Op Mgn LTMOperating Margin = Operating Income / Revenue Reflects profitability before taxes and before impact of capital structure (interest payments). is -728%
6 Significant share based compensation
SBC/Rev LTMShare Based Compensation / Revenue (Sales), Last Twelve Months (LTM) is 131%
7 Not cash flow generative
CFO/Rev LTMCash Flow from Operations / Revenue (Sales), Last Twelve Months (LTM) is -533%, FCF/Rev LTMFree Cash Flow / Revenue (Sales), Last Twelve Months (LTM) is -534%
8 Yield minus risk free rate is negative
ERPEquity Risk Premium (ERP) = Total Yield - Risk Free Rate, Reflects the premium above risk free assets offered by the investment. is -14%
9 Significant short interest
Short Interest Days-to-CoverDTC = (Short Interest Share Quantity) / (Average Daily Trading Volume). Reflects how many days it would take to cover (close out) the short interest based on average volumes. High DTC can signify an increased risk of a short squeeze. is 16.05
10 Key risks
MAZE key risks include [1] its heavy dependence on the clinical and commercial success of its limited lead candidates, Show more.

MAZE in ETFs

Weight = MAZE's share of each fund

VTI0.00%
ITOT0.00%
IWM0.03%
IBB0.06%
IWO0.05%
VTWO0.03%
NUSC0.02%
SCHA0.01%
+6 more covered ETFs

Valuation & Metrics

Price Chart

Why The Stock Moved

Qualitative Assessment

AI Analysis | Feedback

Updated on 9/18/2026

Maze Therapeutics (MAZE) stock has lost about 15% since 5/31/2026 because of the following key factors:

1. Widening Net Losses and Increased Operating Expenses in Fiscal Q2 2026.

Maze Therapeutics reported a net loss of $44.7 million, or $0.76 per share, for fiscal Q2 2026 (ended June 30, 2026), which was wider than the $33.7 million net loss, or $0.77 per share, reported for fiscal Q2 2025. This increase in losses was driven by higher Research & Development (R&D) expenses, which rose to $34.9 million in fiscal Q2 2026 from $28.1 million in the prior year, and increased General & Administrative (G&A) expenses, climbing to $13.1 million from $8.4 million year-over-year.

2. Share Dilution Following April 2026 Equity Offering.

In April 2026, Maze Therapeutics completed a registered offering of its common stock and pre-funded warrants, raising approximately $150 million in gross proceeds. While this significantly bolstered the company's cash position to $494.9 million as of June 30, 2026, and extended its cash runway into 2029, it also led to an increase in the weighted-average shares outstanding. The share count rose to 59.0 million in fiscal Q2 2026, up from 43.8 million in fiscal Q2 2025. This dilution can exert downward pressure on the stock price per share.

Show more
Updated on 9/18/2026

Maze Therapeutics (MAZE) stock has lost about 15% since 5/31/2026 because of the following key factors:

1. Widening Net Losses and Increased Operating Expenses in Fiscal Q2 2026.

Maze Therapeutics reported a net loss of $44.7 million, or $0.76 per share, for fiscal Q2 2026 (ended June 30, 2026), which was wider than the $33.7 million net loss, or $0.77 per share, reported for fiscal Q2 2025. This increase in losses was driven by higher Research & Development (R&D) expenses, which rose to $34.9 million in fiscal Q2 2026 from $28.1 million in the prior year, and increased General & Administrative (G&A) expenses, climbing to $13.1 million from $8.4 million year-over-year.

2. Share Dilution Following April 2026 Equity Offering.

In April 2026, Maze Therapeutics completed a registered offering of its common stock and pre-funded warrants, raising approximately $150 million in gross proceeds. While this significantly bolstered the company's cash position to $494.9 million as of June 30, 2026, and extended its cash runway into 2029, it also led to an increase in the weighted-average shares outstanding. The share count rose to 59.0 million in fiscal Q2 2026, up from 43.8 million in fiscal Q2 2025. This dilution can exert downward pressure on the stock price per share.

3. Unfavorable Long-Term Profitability Outlook from Analysts.

Despite positive pipeline updates, analysts forecast Maze Therapeutics to remain unprofitable over the next three years. Earnings are expected to decline by 10.2% per annum, with a projected decrease in earnings per share (EPS) of 3.9% per annum. While revenue is forecast to grow significantly (58.4% per year), the continued unprofitability and declining EPS outlook likely contribute to investor caution.

4. Lack of Immediate Significant Clinical Data Catalysts.

While Maze Therapeutics announced progress on its clinical programs, including ongoing enrollment in the Phase 2 HORIZON trial of MZE829 and the initiation of the Phase 2 CIPheR trial of MZE782, significant new topline data from these trials are not anticipated until late 2026 or early 2027. The absence of more immediate, impactful clinical milestones between May 31, 2026, and September 18, 2026, may have limited positive sentiment and sustained buying interest in the stock.

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Stock Movement Drivers

Fundamental Drivers

The -14.9% change in MAZE stock from 5/31/2026 to 9/19/2026 was primarily driven by a -8.6% change in the company's Shares Outstanding (Mil).
(LTM values as of)53120269192026Change
Stock Price ($)26.4622.52-14.9%
Change Contribution By: 
Total Revenues ($ Mil)20200.0%
P/S Multiple71.366.4-6.8%
Shares Outstanding (Mil)5459-8.6%
Cumulative Contribution-14.9%

LTM = Last Twelve Months as of date shown

Market Drivers

5/31/2026 to 9/19/2026
ReturnCorrelation
MAZE-14.9% 
Market (SPY)0.9%16.4%
Sector (XLV)12.7%16.1%

Fundamental Drivers

The -50.6% change in MAZE stock from 2/28/2026 to 9/19/2026 was primarily driven by a null change in the company's P/S Multiple.
(LTM values as of)22820269192026Change
Stock Price ($)45.5922.52-50.6%
Change Contribution By: 
Total Revenues ($ Mil)0209.2233720368547763E17%
P/S Multiple66.4 
Shares Outstanding (Mil)4659-22.4%
Cumulative Contribution0.0%

LTM = Last Twelve Months as of date shown

Market Drivers

2/28/2026 to 9/19/2026
ReturnCorrelation
MAZE-50.6% 
Market (SPY)11.6%15.1%
Sector (XLV)5.5%10.6%

Fundamental Drivers

The 55.4% change in MAZE stock from 8/31/2025 to 9/19/2026 was primarily driven by a 700.0% change in the company's Total Revenues ($ Mil).
(LTM values as of)83120259192026Change
Stock Price ($)14.4922.5255.4%
Change Contribution By: 
Total Revenues ($ Mil)220700.0%
P/S Multiple253.866.4-73.8%
Shares Outstanding (Mil)4459-25.8%
Cumulative Contribution55.4%

LTM = Last Twelve Months as of date shown

Market Drivers

8/31/2025 to 9/19/2026
ReturnCorrelation
MAZE55.4% 
Market (SPY)19.4%15.8%
Sector (XLV)24.1%15.8%

Fundamental Drivers

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Market Drivers

8/31/2023 to 9/19/2026
ReturnCorrelation
MAZE  
Market (SPY)75.6%17.0%
Sector (XLV)32.3%16.9%

Return vs. Risk

Price Returns Compared

 202120222023202420252026Total [1]
Returns
MAZE Return----160%-43%47%
Peers Return-7%32%41%-1%13%18%127%
S&P 500 Return27%-19%24%23%16%12%103%

Monthly Win Rates [3]
MAZE Win Rate----58%33% 
Peers Win Rate42%67%58%50%83%64% 
S&P 500 Win Rate75%42%67%75%67%44% 

Max Drawdowns [4]
MAZE Max Drawdown------55% 
Peers Max Drawdown-27%-19%-12%-23%-29%-15% 
S&P 500 Max Drawdown-5%-25%-10%-8%-19%-9% 


[1] Cumulative total returns since the beginning of 2021
[2] Peers: VRTX, APMD, ATTO, BLSM, BRVE.
[3] Win Rate = % of calendar months in which monthly returns were positive
[4] Max drawdown represents maximum peak-to-trough decline within a year
[5] 2026 data is for the year up to 9/18/2026 (YTD)

How Low Can It Go

EventMAZES&P 500
2025 US Tariff Shock
  % Loss-39.7%-18.8%
  % Gain to Breakeven65.9%23.1%
  Time to Breakeven56 days79 days

Compare to VRTX, APMD, ATTO, BLSM, BRVE

In The Past

Maze Therapeutics's stock fell -39.7% during the 2025 US Tariff Shock. Such a loss loss requires a 65.9% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

EventMAZES&P 500
2025 US Tariff Shock
  % Loss-39.7%-18.8%
  % Gain to Breakeven65.9%23.1%
  Time to Breakeven56 days79 days

Compare to VRTX, APMD, ATTO, BLSM, BRVE

In The Past

Maze Therapeutics's stock fell -39.7% during the 2025 US Tariff Shock. Such a loss loss requires a 65.9% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

About Maze Therapeutics (MAZE)

Maze Therapeutics (MAZE) is a clinical-stage biopharmaceutical company focused on developing precision medicines by leveraging human genetics. The company utilizes its proprietary "Compass platform" to identify and characterize genetic variants linked to diseases and then maps these variants to specific biological pathways. This process, known as "variant functionalization," underpins their strategy to develop novel small molecule drugs designed to mimic protective genetic effects observed in certain patient populations.

The company's pipeline primarily targets renal, cardiovascular, and related metabolic diseases, including obesity. Its two lead programs are orally administered small molecules: MZE829 and MZE782. MZE829 is an APOL1 inhibitor currently in a Phase 2 trial for APOL1 kidney disease (AKD), a severe form of chronic kidney disease (CKD). MZE782, a novel SLC6A19 inhibitor, is in a Phase 1 trial for a broad population of CKD patients who have an inadequate response to existing treatments and is also being investigated for its potential in phenylketonuria (PKU).

Maze Therapeutics addresses significant patient populations, particularly those suffering from chronic kidney disease, a condition affecting tens of millions in the United States. MZE829 targets the over one million patients with AKD, while MZE782 aims to benefit approximately five million CKD patients who struggle with current therapies, potentially offering standalone treatment or complementary benefits. By targeting the underlying genetic drivers of disease, Maze seeks to deliver more effective and tailored therapeutic options for these serious and progressive conditions.

AI Analysis | Feedback

Maze Therapeutics is like a **Vertex Pharmaceuticals** focused on developing precision medicines for kidney and metabolic diseases, leveraging deep genetic insights.

AI Analysis | Feedback

  • MZE829: An oral, small molecule inhibitor of apolipoprotein L1 (APOL1) for the treatment of APOL1 kidney disease (AKD).
  • MZE782: An oral, small molecule inhibitor of the solute transporter SLC6A19, primarily aimed at chronic kidney disease (CKD) with potential for phenylketonuria (PKU).

AI Analysis | Feedback

Maze Therapeutics (MAZE) is a clinical-stage biopharmaceutical company focused on the research and development of novel precision medicines. As such, the company is currently engaged in clinical trials for its drug candidates (MZE829 and MZE782) and does not yet have any commercialized products on the market. Therefore, Maze Therapeutics does not have major customers at this time, as it is not currently selling products to other companies or individuals.

AI Analysis | Feedback

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AI Analysis | Feedback

Jason Coloma, Chief Executive Officer

Dr. Jason Coloma is the Chief Executive Officer of Maze Therapeutics. He was previously the company's chief operating officer and a venture partner at Third Rock Ventures, where he played a key role in the founding and launch of Maze. Prior to Maze, he served as interim Chief Business Officer at Third Rock portfolio companies insitro and Celsius. His career also includes roles as Senior Vice President and Chief Business Officer at Corvus Pharmaceuticals, and Vice President & Global Therapeutic Area Head of Oncology and Cancer Immunotherapy Partnering at Roche. He also worked as a consultant in the life sciences practice at L.E.K. Consulting. Maze Therapeutics was launched in 2019 by Third Rock Ventures and received funding from various investors, including ARCH Venture Partners and GV.

Misbah Tahir, Chief Financial Officer

Misbah Tahir was appointed Chief Financial Officer of Maze Therapeutics in September 2025. He brings over two decades of financial and strategic leadership experience in the biopharmaceutical industry. Most recently, he served as Chief Financial Officer at IGM Biosciences, Inc., where he was instrumental in guiding the company through its 2019 initial public offering and helped raise more than $1 billion through equity financings and a pharmaceutical partnership. Tahir began his career in the biopharmaceutical sector at Amgen, Inc. after working as a management consultant.

Harold Bernstein, President, Research and Development and Chief Medical Officer

Dr. Harold Bernstein joined Maze Therapeutics as President, Research and Development and Chief Medical Officer in 2022. He has over three decades of experience in scientific research, translational medicine, and clinical development in both industry and academia. Before Maze, he was Senior Vice President, Chief Medical Officer, and Head of Global Clinical Development at BioMarin Pharmaceutical. His previous roles include Head of Translational Medicine and Vice President of Global Medicines Development and Medical Affairs at Vertex Pharmaceuticals, and positions at Merck, where he was head of early development for cardiometabolic diseases. Dr. Bernstein also held academic positions as a professor of pediatrics and a senior investigator at the University of California, San Francisco (UCSF), and served as an attending physician at UCSF Benioff Children's Hospital and Mount Sinai Kravis Children's Hospital.

Atul Dandekar, Chief Strategy & Business Officer

Atul Dandekar serves as the Chief Strategy & Business Officer for Maze Therapeutics.

Courtney Phillips, General Counsel & Corporate Secretary

Courtney Phillips is the General Counsel & Corporate Secretary at Maze Therapeutics.

AI Analysis | Feedback

  • Clinical Trial Failure: As a clinical-stage biopharmaceutical company, Maze Therapeutics' success is fundamentally dependent on the successful outcome of its ongoing and future clinical trials for its lead product candidates, MZE829 and MZE782. Both programs are currently in early to mid-stage clinical development (Phase 1 and Phase 2 respectively), and there is a significant risk that these trials may not demonstrate sufficient safety or efficacy, or may encounter unexpected adverse events, which could lead to delays, termination, or failure to achieve regulatory approval.
  • Reliance on Novel Platform and Mechanisms of Action: Maze Therapeutics' strategy hinges on its proprietary Compass platform and its approach of "variant functionalization" to develop precision medicines that phenocopy protective genetic variants. The company's lead programs, MZE829 (targeting APOL1) and MZE782 (targeting SLC6A19), represent novel mechanisms of action for chronic kidney disease. There is a risk that this innovative platform may not consistently identify viable drug candidates, or that the specific therapeutic hypotheses underlying their lead programs may not translate into robust clinical benefits, potentially undermining their entire development pipeline.
  • Regulatory Approval Risk: Even if clinical trials for MZE829 and MZE782 are successful, Maze Therapeutics faces the significant challenge and inherent uncertainty of obtaining regulatory approvals from agencies like the FDA. The regulatory process is rigorous and can be unpredictable, especially for novel precision medicines utilizing new mechanisms. Delays in the approval process or a failure to obtain necessary approvals could significantly impact the company's ability to commercialize its products and generate revenue.

AI Analysis | Feedback

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AI Analysis | Feedback

For Maze Therapeutics' lead programs, the addressable markets are as follows:

  • MZE829: Estimated to affect over one million patients with APOL1 kidney disease (AKD) in the United States.
  • MZE782: Has the potential to address approximately five million chronic kidney disease (CKD) patients in the United States with inadequate responses to currently available therapies.

AI Analysis | Feedback

The expected drivers of future revenue growth for Maze Therapeutics (MAZE) over the next 2-3 years are primarily centered on the advancement and potential success of its lead clinical programs and the expansion of its pipeline:

  1. Advancement and Positive Clinical Trial Results for MZE829 in APOL1 Kidney Disease (AKD): Maze Therapeutics anticipates dosing the first patient in its Phase 2 trial for MZE829 in AKD during the first quarter of 2025 and reporting proof-of-concept data in the first quarter of 2026. Successful progression through this clinical stage, demonstrating efficacy and safety, would significantly de-risk the program, enhance its market potential, and represent a key step towards future commercialization for a disease affecting over one million patients in the United States.
  2. Advancement and Initial Clinical Trial Results for MZE782 in Chronic Kidney Disease (CKD): The company initiated a Phase 1 trial for MZE782 in September 2024 and expects to report initial data in the second half of 2025. Positive results from this trial would enable progression to later clinical stages, validating MZE782 as a potential novel treatment for approximately five million CKD patients in the United States who currently have inadequate responses to available therapies.
  3. Expansion of MZE782 into Phenylketonuria (PKU): Following the ongoing Phase 1 trial for MZE782 in CKD, Maze Therapeutics plans to conduct a parallel Phase 2 clinical trial to explore MZE782 as a potential treatment for phenylketonuria. This strategic move into a new, genetically defined metabolic disease represents a significant market expansion opportunity for MZE782, diversifying its potential revenue streams beyond CKD.
  4. Pipeline Expansion through the Compass Platform: Maze Therapeutics' proprietary Compass platform is designed to identify and characterize genetic variants to develop novel precision medicines. The continued successful application of this platform to generate new lead programs and expand the company's pipeline beyond MZE829 and MZE782 will be crucial for long-term revenue growth. This platform underpins the company's ability to consistently discover and advance new drug candidates.

AI Analysis | Feedback

Share Issuance

  • Maze Therapeutics completed its Initial Public Offering (IPO) on January 31, 2025, raising approximately $140 million in gross proceeds by offering 8,750,000 shares of common stock at $16.00 per share.
  • The company conducted an oversubscribed private placement in September 2025, which raised approximately $150.0 million through the issuance of 4,000,002 shares of common stock at a price of $16.25 per share.

Inbound Investments

  • Prior to its IPO, Maze Therapeutics raised almost $500 million in private funding, which included a $190 million funding round in 2022 and a $115 million Series D financing in December 2024.
  • In the first half of 2024, Maze Therapeutics recognized $165.0 million in license revenue, with $150.0 million from an exclusive license agreement with Shionogi & Co., Ltd. for MZE001 and an additional $15.0 million from Trace Neuroscience, Inc.

Capital Expenditures

  • Proceeds from financing rounds, including the September 2025 private placement, are intended to advance the development of lead programs MZE829 and MZE782 in clinical trials, further develop its Compass platform, and cover general corporate purposes.

Peer Outperformance in Biotechnology

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Share of Biotechnology constituents that MAZE has outperformed, by holding period. Peers without a full price history over a given window are excluded from that window.
1Y
49%
of 455 industry peers · -1.8% return
3Y
insufficient peer history
5Y
insufficient peer history
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Median price return by industry across the Health Care sector, ranked by 5Y. Biotechnology is MAZE's own industry. Use this to see which corners of the sector have carried the returns.
Industry Names 1Y med3Y med5Y med Top 3 by 5Y
Health Care Distributors 6 16.2%43.6%89.3% CAH 387% · MCK 344% · COR 167%
Health Care Services 20 21.1%38.6%1.2% HIMS 248% · RDNT 176% · DGX 76%
Managed Health Care 8 40.4%-3.7%0.8% OSCR 87% · HQY 54% · ELV 17%
Health Care Facilities 24 6.0%4.6%-9.2% NHC 272% · THC 265% · ENSG 129%
Health Care Equipment 50 -2.7%-3.3%-20.5% POCI 11050% · UFPT 344% · GKOS 216%
Pharmaceuticals 62 -10.5%14.7%-38.8% LQDA 2512% · INDV 1092% · ETON 1040%
Health Care Supplies 12 14.1%-11.1%-40.0% LNTH 290% · HAE 57% · MMSI 19%
Life Sciences Tools & Services 109 4.3%-12.6%-67.5% SNWV 1757% · MEDP 235% · NTRA 209%
Health Care Technology 21 -25.8%-52.4%-79.1% SPOK 69% · HSTM 3% · VEEV -12%
Biotechnology ← 364 0.6%-21.4%-79.3% CELZ 1280% · DNTH 1217% · ELVN 1080%
Median of constituents with a full price history over each window. Top names are unfiltered by size in this render.

Latest Trefis Analyses

TitleDate
0DASHBOARDS 
1Maze Therapeutics Earnings Notes12/16/2025
2null10/17/2025
Title
0ARTICLES

Recent Active Movers

Peer Comparisons

Peers to compare with:

Financials

MAZEVRTXAPMDATTOBLSMBRVEMedian
NameMaze The.Vertex P.Apnimed Attovia .BlossomH.Bravehea. 
Mkt Price22.52508.3429.0022.1425.7429.2027.37
Mkt Cap1.3129.0----65.1
Rev LTM2012,58711700010
Op Inc LTM-1464,77723-74-72-31-52
FCF LTM-1073,796-84-64-65-25-65
FCF 3Y Avg-441,957----956
CFO LTM-1074,293-84-62-64-22-63
CFO 3Y Avg-442,398----1,177

Growth & Margins

MAZEVRTXAPMDATTOBLSMBRVEMedian
NameMaze The.Vertex P.Apnimed Attovia .BlossomH.Bravehea. 
Rev Chg LTM700.0%10.2%----355.1%
Rev Chg 3Y Avg-9.8%----9.8%
Rev Chg Q-12.5%----12.5%
QoQ Delta Rev Chg LTM0.0%3.0%----1.5%
Op Inc Chg LTM-15.7%2,497.9%----1,241.1%
Op Inc Chg 3Y Avg-792.2%----792.2%
Op Mgn LTM-728.1%37.9%19.9%-16,551.6%---354.1%
Op Mgn 3Y Avg-1,907.6%23.9%-----941.9%
QoQ Delta Op Mgn LTM-57.8%-0.2%-----29.0%
CFO/Rev LTM-532.7%34.1%-71.5%-13,695.3%---302.1%
CFO/Rev 3Y Avg-1,564.2%19.6%-----772.3%
FCF/Rev LTM-534.2%30.2%-71.5%-14,194.7%---302.8%
FCF/Rev 3Y Avg-1,583.5%15.7%-----783.9%

Valuation

MAZEVRTXAPMDATTOBLSMBRVEMedian
NameMaze The.Vertex P.Apnimed Attovia .BlossomH.Bravehea. 
Mkt Cap1.3129.0----65.1
P/S66.410.2----38.3
P/Op Inc-9.127.0----8.9
P/EBIT-9.625.6----8.0
P/E-9.929.3----9.7
P/CFO-12.530.0----8.8
Total Yield-10.1%3.4%-----3.3%
Dividend Yield0.0%0.0%----0.0%
FCF Yield 3Y Avg-1.6%----1.6%
D/E0.00.0----0.0
Net D/E-0.3-0.0-----0.2

Returns

MAZEVRTXAPMDATTOBLSMBRVEMedian
NameMaze The.Vertex P.Apnimed Attovia .BlossomH.Bravehea. 
1M Rtn-22.2%-5.9%1.6%9.5%62.9%6.5%4.0%
3M Rtn-12.3%12.6%16.0%1.1%60.9%-2.0%6.8%
6M Rtn-53.1%12.0%16.0%1.1%60.9%-2.0%6.5%
12M Rtn-1.8%32.7%16.0%1.1%60.9%-2.0%8.5%
3Y Rtn41.2%44.3%16.0%1.1%60.9%-2.0%28.6%
1M Excs Rtn-23.6%-7.2%-8.7%0.7%59.9%1.5%-3.2%
3M Excs Rtn-14.3%10.6%14.0%-0.9%58.9%-4.0%4.8%
6M Excs Rtn-70.2%-4.8%0.2%-14.7%45.1%-17.8%-9.8%
12M Excs Rtn-20.1%15.4%0.1%-14.8%45.0%-17.9%-7.4%
3Y Excs Rtn-30.1%-24.7%-55.3%-70.2%-10.4%-73.3%-42.7%

Comparison Analyses

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Financials

Segment Financials

Revenue by Segment
$ Mil2025202420232022
Business of harnessing its understanding of human genetics and variant functionalization to develop016800
Total016800


Operating Income by Segment
$ Mil202520242023
Business of harnessing its understanding of human genetics and variant functionalization to develop-14358-99
Total-14358-99


Net Income by Segment
$ Mil2025
Business of harnessing its understanding of human genetics and variant functionalization to develop-131
Total-131


Assets by Segment
$ Mil20232022
Business of harnessing its understanding of human genetics and variant functionalization to develop72150
Total72150


Price Behavior

Price Behavior
Market Price$22.52 
Market Cap ($ Bil)1.3 
First Trading Date01/31/2025 
Distance from 52W High-56.6% 
   50 Days200 Days
DMA Price$27.46$30.63
DMA Trenddownindeterminate
Distance from DMA-18.0%-26.5%
 3M1YR
Volatility45.8%62.1%
Downside Capture122.7080.65
Upside Capture40.1164.54
Correlation (SPY)13.3%16.6%
MAZE Betas & Captures as of 8/31/2026

 1M2M3M6M1Y3Y
Beta0.530.960.640.781.030.05
Up Beta0.540.871.441.291.73-0.01
Down Beta-3.760.660.420.560.45-0.08
Up Capture72%52%43%-7%127%42%
Bmk +ve Days10213268138427
Stock +ve Days14243764131204
Down Capture158%176%49%127%67%86%
Bmk -ve Days11213259113324
Stock -ve Days7182762119188

[1] Upside and downside betas calculated using positive and negative benchmark daily returns respectively
Based On 1-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with MAZE
MAZE-4.2%61.9%0.20-
Sector ETF (XLV)24.4%16.1%1.1610.9%
Equity (SPY)16.9%12.9%0.9416.6%
Gold (GLD)19.1%29.3%0.6010.6%
Commodities (DBC)46.3%20.6%1.73-5.8%
Real Estate (VNQ)4.9%13.6%0.105.6%
Bitcoin (BTCUSD)-30.6%44.3%-0.709.7%

Smart multi-asset allocation framework can stack odds in your favor. Learn How
Based On 5-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with MAZE
MAZE6.7%88.3%0.60-
Sector ETF (XLV)6.4%15.2%0.2417.0%
Equity (SPY)12.9%17.2%0.5717.1%
Gold (GLD)19.1%18.8%0.833.3%
Commodities (DBC)11.2%19.5%0.450.9%
Real Estate (VNQ)1.1%18.8%-0.0514.1%
Bitcoin (BTCUSD)12.5%52.5%0.4212.8%

Smart multi-asset allocation framework can stack odds in your favor. Learn How
Based On 10-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with MAZE
MAZE3.3%88.3%0.60-
Sector ETF (XLV)10.6%16.7%0.5117.0%
Equity (SPY)15.1%18.0%0.7217.1%
Gold (GLD)12.1%16.4%0.613.3%
Commodities (DBC)8.3%18.1%0.370.9%
Real Estate (VNQ)4.4%20.7%0.1814.1%
Bitcoin (BTCUSD)62.6%66.2%1.0212.8%

Smart multi-asset allocation framework can stack odds in your favor. Learn How

Short Interest

Short Interest: As Of Date8312026
Short Interest: Shares Quantity5.9 Mil
Short Interest: % Change Since 8152026-1.2%
Average Daily Volume0.4 Mil
Days-to-Cover Short Interest16.0 days
Basic Shares Quantity59.0 Mil
Short % of Basic Shares10.0%

Earnings Returns History

Updated 9/14/2026
Expand for More
 Forward Returns
Earnings Date1D Returns5D Returns21D Returns
8/11/20260.8%6.7%-9.1%
5/12/20264.6%-5.1%-6.6%
3/25/2026-35.2%-39.1%-46.9%
11/6/2025-3.5%7.5%37.6%
8/12/2025-1.0%-2.1%80.5%
5/14/20252.1%16.1%47.9%
SUMMARY STATS   
# Positive333
# Negative333
Median Positive2.1%7.5%47.9%
Median Negative-3.5%-5.1%-9.1%
Max Positive4.6%16.1%80.5%
Max Negative-35.2%-39.1%-46.9%
Collapse to Preview
 Forward Returns
Earnings Date1D Returns5D Returns21D Returns
8/11/20260.8%6.7%-9.1%
5/12/20264.6%-5.1%-6.6%
3/25/2026-35.2%-39.1%-46.9%
11/6/2025-3.5%7.5%37.6%
8/12/2025-1.0%-2.1%80.5%
5/14/20252.1%16.1%47.9%
SUMMARY STATS   
# Positive333
# Negative333
Median Positive2.1%7.5%47.9%
Median Negative-3.5%-5.1%-9.1%
Max Positive4.6%16.1%80.5%
Max Negative-35.2%-39.1%-46.9%

SEC Filings

Expand for More
Report DateFiling DateFiling
06/30/202608/11/202610-Q
03/31/202605/12/202610-Q
12/31/202503/25/202610-K
09/30/202511/06/202510-Q
06/30/202508/12/202510-Q
03/31/202505/14/202510-Q
12/31/202403/31/202510-K
09/30/202401/31/2025424B4
06/30/202409/13/2024DRS/A
Collapse to Preview
Report DateFiling DateFiling
06/30/202608/11/202610-Q
03/31/202605/12/202610-Q
12/31/202503/25/202610-K
09/30/202511/06/202510-Q
06/30/202508/12/202510-Q
03/31/202505/14/202510-Q
12/31/202403/31/202510-K
09/30/202401/31/2025424B4
06/30/202409/13/2024DRS/A

Recent Forward Guidance

Updated 8/12/2026

Latest: Q2 2026 Earnings Reported 8/11/2026

Forward GuidanceGuidance Change
MetricSourceLowMidHigh% Chg% DeltaChangePrior
2029 Cash RunwayReported      


Prior: Q1 2026 Earnings Reported 5/12/2026

Forward GuidanceGuidance Change
MetricSourceLowMidHigh% Chg% DeltaChangePrior
2029 Cash RunwayReported 2,029   RaisedGuidance: 2,028 for 2028

Q4 2025 Earnings Reported 3/25/2026

Forward GuidanceGuidance Change
MetricSourceLowMidHigh% Chg% DeltaChangePrior
2028 Cash RunwayReported     AffirmedGuidance: 2,028 for 2028

Q3 2025 Earnings Reported 11/6/2025

Forward GuidanceGuidance Change
MetricSourceLowMidHigh% Chg% DeltaChangePrior
2028 Cash RunwayReported 2,028   Higher NewGuidance: 2,027 for 2027

Insider Activity

Updated 9/8/2026
Expand for More
#OwnerTitleHoldingActionFiling DatePriceSharesTransacted
Value
Value of
Held Shares
Form
1Bernstein, HaroldPresident, R&D & CMODirectSell908202626.229,705  Form
2Dandekar, AtulCSBODirectSell904202626.013,24384,354840,573Form
3Courtney, PhillipsGC and Corp. SecretaryDirectSell904202626.012,01252,334182,257Form
4Coloma, Jason VChief Executive OfficerDirectSell904202626.0111,411296,807711,702Form
5Bernstein, HaroldPresident, R&D & CMODirectSell904202626.015,189134,969252,433Form
Collapse to Preview
#OwnerTitleHoldingActionFiling DatePriceSharesTransacted
Value
Value of
Held Shares
Form
1Bernstein, HaroldPresident, R&D & CMODirectSell908202626.229,705  Form
2Dandekar, AtulCSBODirectSell904202626.013,24384,354840,573Form
3Courtney, PhillipsGC and Corp. SecretaryDirectSell904202626.012,01252,334182,257Form
4Coloma, Jason VChief Executive OfficerDirectSell904202626.0111,411296,807711,702Form
5Bernstein, HaroldPresident, R&D & CMODirectSell904202626.015,189134,969252,433Form
6Dandekar, AtulCSBODirectSell904202626.473,19184,457941,151Form
7Courtney, PhillipsGC and Corp. SecretaryDirectSell904202626.471,98152,432238,709Form
8Coloma, Jason VChief Executive OfficerDirectSell904202626.4711,227297,1481,026,215Form
9Bernstein, HaroldPresident, R&D & CMODirectSell904202626.475,106135,142394,203Form
10Coloma, Jason VChief Executive OfficerThe Coloma 2021 Irrevocable TrustSell903202626.312,59368,214477,498Form
11Coloma, Jason VChief Executive OfficerColoma Family TrustSell903202626.2931,908838,7855,871,467Form
12Bernstein, HaroldPresident, R&D & CMODirectSell903202626.3616,141  Form
13Dandekar, AtulCSBODirectSell831202627.587,500206,824723,883Form
14Bernstein, HaroldPresident, R&D & CMODirectSell814202627.6116,142  Form
15Coloma, Jason VChief Executive OfficerThe Coloma 2021 Irrevocable TrustSell805202626.742,59369,329554,633Form
16Coloma, Jason VChief Executive OfficerColoma Family TrustSell805202626.7331,908852,9866,823,860Form
17Dandekar, AtulCSBODirectSell731202627.347,500205,031717,610Form
18Dandekar, AtulCSBODirectSell701202628.027,500210,150735,525Form
19Coloma, Jason VChief Executive OfficerColoma Family TrustSell624202626.0523,865621,6748,311,880Form
20Coloma, Jason VChief Executive OfficerColoma Family TrustSell624202626.001,95350,7818,917,058Form
21Coloma, Jason VChief Executive OfficerThe Coloma 2021 Irrevocable TrustSell624202626.002,04053,040674,180Form
22Coloma, Jason VChief Executive OfficerColoma Family TrustSell603202626.206,090159,5379,035,094Form
23Coloma, Jason VChief Executive OfficerThe Coloma 2021 Irrevocable TrustSell603202626.2455314,511733,966Form
24Bernstein, HaroldPresident, R&D & CMODirectSell603202625.6614,853  Form
25Dandekar, AtulCSBODirectSell602202626.347,500197,554653,455Form
26Coloma, Jason VChief Executive OfficerColoma Family TrustSell527202626.0225,582665,5169,130,927Form
27Coloma, Jason VChief Executive OfficerColoma Family TrustSell527202626.004,504117,1049,790,832Form
28Coloma, Jason VChief Executive OfficerThe Coloma 2021 Irrevocable TrustSell527202626.002,47864,428741,598Form
29Coloma, Jason VChief Executive OfficerColoma Family TrustSell518202626.001,82247,3729,907,898Form
30Coloma, Jason VChief Executive OfficerThe Coloma 2021 Irrevocable TrustSell518202626.001163,016806,026Form
31Bernstein, HaroldPresident, R&D & CMODirectSell518202626.2215,000  Form
32Dandekar, AtulCSBODirectSell501202625.377,500190,299266,495Form
33Bachrodt, AmySVP, FinanceDirectSell402202629.442,50073,611381,746Form
34Bernstein, HaroldPresident, R&D & CMODirectSell402202629.4615,000  Form
35Dandekar, AtulCSBODirectSell401202629.347,500220,019308,114Form
36Bernstein, HaroldPresident, R&D & CMODirectSell320202649.1015,000  Form
37Bernstein, HaroldPresident, R&D & CMODirectSell312202650.4530,000  Form
38Bachrodt, AmySVP, FinanceDirectSell303202645.205,000226,011586,045Form
39Dandekar, AtulCSBODirectSell303202645.437,500340,723477,149Form
40Bernstein, HaroldPresident, R&D & CMODirectSell204202646.0215,000  Form
41Bachrodt, AmySVP, FinanceDirectSell204202646.045,000230,219596,959Form
42Dandekar, AtulCSBODirectSell202202644.277,500331,990464,919Form
43Bachrodt, AmySVP, FinanceDirectSell126202645.525,000227,612590,198Form
44Bernstein, HaroldPresident, R&D & CMODirectSell109202640.2025,156  Form
45Bernstein, HaroldPresident, R&D & CMODirectSell106202640.00412  Form
46Bernstein, HaroldPresident, R&D & CMODirectSell106202640.434,432  Form
47Bachrodt, AmySVP, FinanceDirectSell106202639.155,000195,754507,589Form
48Dandekar, AtulCSBODirectSell1231202540.361004,036423,901Form
49Bachrodt, AmySVP, FinanceDirectSell1231202540.085,000200,407519,655Form
50Dandekar, AtulCSBODirectSell1231202540.5672,4002,936,763426,034Form
51Bernstein, HaroldPresident, R&D & CMODirectSell1231202540.5645,000  Form
52Bachrodt, AmySVP, FinanceDirectSell1231202540.5810,000405,766526,076Form
53Scheller, Richard HDirectSell916202522.3720,744  Form

Investor Activity (13F)

Updated Sep 20, 2026
13F holdings as of Mar 31, 2026 (Q1 2026)

Active managers (13F portfolio over $250M, at least 3 holdings) with a position over $5M that is either over 10% of their portfolio or held in a concentrated book of 50 or fewer total positions. Index/ETF, sovereign, bank, community-bank and charitable/donor-advised filers are excluded.

Active ManagerValue% of PortfolioTotal PositionsQoQFiling
ARCH Venture Management, LLC$123.0 Mil18.2%10Hold13F
TRV GP V, LLC$28.4 Mil7.1%3Hold13F
a16z Capital Management, L.L.C.$50.8 Mil3.9%16Hold13F
Frazier Life Sciences Management, L.P.$136.3 Mil3.5%38Hold13F
Venrock Adviser, LLC$47.8 Mil1.8%33Hold13F
Casdin Capital, LLC$22.7 Mil1.7%40Hold13F
Paradigm Biocapital Advisors LP$81.9 Mil1.7%35New13F
Mass General Brigham, Inc$7.2 Mil1.5%6Hold13F
Spruce Street Capital LP$6.0 Mil1.4%28New13F
Caligan Partners LP$18.4 Mil1.3%24ADD +11.8%13F
Cormorant Asset Management, LP$22.4 Mil1.1%46New13F
Alphabet Inc.$41.4 Mil1.0%27Hold13F
HHLR Advisors, LTD.$10.9 Mil0.7%38TRIM -20.0%13F
Active ManagerValue% of PortfolioTotal PositionsQoQFiling
Paradigm Biocapital Advisors LP$81.9 Mil1.7%35New13F
Cormorant Asset Management, LP$22.4 Mil1.1%46New13F
Spruce Street Capital LP$6.0 Mil1.4%28New13F
Caligan Partners LP$18.4 Mil1.3%24ADD +11.8%13F
Active ManagerValue% of PortfolioTotal PositionsQoQAs OfFiling
TCG Crossover Management, LLC$7.2 Mil0.2%43ExitedDec 31, 202513F
HHLR Advisors, LTD.$10.9 Mil0.7%38TRIM -20.0%Mar 31, 202613F
Active ManagerValue% of PortfolioTotal PositionsQoQFiling
Frazier Life Sciences Management, L.P.$136.3 Mil3.5%38Hold13F
ARCH Venture Management, LLC$123.0 Mil18.2%10Hold13F
Paradigm Biocapital Advisors LP$81.9 Mil1.7%35New13F
a16z Capital Management, L.L.C.$50.8 Mil3.9%16Hold13F
Venrock Adviser, LLC$47.8 Mil1.8%33Hold13F
Alphabet Inc.$41.4 Mil1.0%27Hold13F
TRV GP V, LLC$28.4 Mil7.1%3Hold13F
Casdin Capital, LLC$22.7 Mil1.7%40Hold13F
Cormorant Asset Management, LP$22.4 Mil1.1%46New13F
Caligan Partners LP$18.4 Mil1.3%24ADD +11.8%13F
HHLR Advisors, LTD.$10.9 Mil0.7%38TRIM -20.0%13F
Mass General Brigham, Inc$7.2 Mil1.5%6Hold13F
Spruce Street Capital LP$6.0 Mil1.4%28New13F
Core Cache Last Updated: 9/19/2026