Tevogen (TVGN)


Market Price (9/14/2026): $7.36 | Market Cap: $28.2 MilSector: Health Care | Industry: Biotechnology

Tevogen (TVGN)


Market Price (9/14/2026): $7.36
Market Cap: $28.2 Mil
Sector: Health Care
Industry: Biotechnology

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

0

Megatrend and thematic drivers
Megatrends include Biotechnology & Genomics, Precision Medicine, and Aging Population & Chronic Disease. Themes include Cellular Immunotherapy, Show more.

Weak multi-year price returns
2Y Excs Rtn is -107%, 3Y Excs Rtn is -170%

Meaningful 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 10.44

Very low revenue
Rev LTMTotal Revenue or Sales, Last Twelve Months is 0

Not profitable at operating income level
Op Inc LTMOperating Income, Last Twelve Months is -21 Mil

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 -81%

High stock price volatility
Vol 12M is 114%

Key risks
TVGN key risks include [1] a precarious financial position marked by a history of significant losses, Show more.

0 Megatrend and thematic drivers
Megatrends include Biotechnology & Genomics, Precision Medicine, and Aging Population & Chronic Disease. Themes include Cellular Immunotherapy, Show more.
1 Weak multi-year price returns
2Y Excs Rtn is -107%, 3Y Excs Rtn is -170%
2 Meaningful 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 10.44
3 Very low revenue
Rev LTMTotal Revenue or Sales, Last Twelve Months is 0
4 Not profitable at operating income level
Op Inc LTMOperating Income, Last Twelve Months is -21 Mil
5 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 -81%
6 High stock price volatility
Vol 12M is 114%
7 Key risks
TVGN key risks include [1] a precarious financial position marked by a history of significant losses, Show more.

TVGN in ETFs

Weight = TVGN's share of each fund

VTI0.00%

Valuation & Metrics

Price Chart

Why The Stock Moved

Qualitative Assessment

AI Analysis | Feedback

Updated on 9/1/2026

Tevogen (TVGN) stock has lost about 5% since 5/31/2026 because of the following key factors:

1. Persistent Net Losses and Limited Cash Reserves. Tevogen reported a net loss of $(5.84) million for fiscal Q2 2026, which ended June 30, 2026, a slight increase from the $(5.64) million net loss in fiscal Q2 2025. While the net loss for the first half of fiscal 2026 narrowed to $(11.21) million from $(15.87) million year-over-year, the company's cash position remained tight at $1.1 million as of June 30, 2026, contributing to investor concerns regarding financial stability and the ability to fund ongoing operations.

2. Increased Share Dilution Risk. On August 26, 2026, stockholders approved an amendment to the 2024 Omnibus Incentive Plan, significantly increasing the number of common shares available for issuance by 100,000,000. This approval followed a 1-for-50 reverse stock split that became effective earlier in March 2026, and the combined effect suggests a heightened risk of dilution for existing shareholders, potentially pressuring the stock price.

Show more
Updated on 9/1/2026

Tevogen (TVGN) stock has lost about 5% since 5/31/2026 because of the following key factors:

1. Persistent Net Losses and Limited Cash Reserves. Tevogen reported a net loss of $(5.84) million for fiscal Q2 2026, which ended June 30, 2026, a slight increase from the $(5.64) million net loss in fiscal Q2 2025. While the net loss for the first half of fiscal 2026 narrowed to $(11.21) million from $(15.87) million year-over-year, the company's cash position remained tight at $1.1 million as of June 30, 2026, contributing to investor concerns regarding financial stability and the ability to fund ongoing operations.

2. Increased Share Dilution Risk. On August 26, 2026, stockholders approved an amendment to the 2024 Omnibus Incentive Plan, significantly increasing the number of common shares available for issuance by 100,000,000. This approval followed a 1-for-50 reverse stock split that became effective earlier in March 2026, and the combined effect suggests a heightened risk of dilution for existing shareholders, potentially pressuring the stock price.

3. Absence of Product Revenue. Tevogen, a clinical-stage biotechnology company, continued to report no product revenue for fiscal Q2 2026 and relies on grants, equity access, and loan facilities to fund its clinical and development activities. Despite progress in clinical trials, such as the completed Phase 1 proof-of-concept trial for TVGN 489, the ongoing lack of a revenue-generating product can lead to investor apprehension regarding the company's long-term commercial viability without external funding.

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Stock Movement Drivers

Fundamental Drivers

The -7.0% change in TVGN stock from 5/31/2026 to 9/13/2026 was primarily driven by a -9.0% change in the company's Shares Outstanding (Mil).
(LTM values as of)53120269132026Change
Stock Price ($)7.917.36-7.0%
Change Contribution By: 
Total Revenues ($ Mil)000.0%
P/S Multiple0.0%
Shares Outstanding (Mil)34-9.0%
Cumulative Contribution0.0%

LTM = Last Twelve Months as of date shown

Market Drivers

5/31/2026 to 9/13/2026
ReturnCorrelation
TVGN-7.0% 
Market (SPY)1.0%6.3%
Sector (XLV)10.6%-10.0%

Fundamental Drivers

The -44.3% change in TVGN stock from 2/28/2026 to 9/13/2026 was primarily driven by a 2.4% change in the company's Shares Outstanding (Mil).
(LTM values as of)22820269132026Change
Stock Price ($)13.217.36-44.3%
Change Contribution By: 
Total Revenues ($ Mil)000.0%
P/S Multiple0.0%
Shares Outstanding (Mil)442.4%
Cumulative Contribution0.0%

LTM = Last Twelve Months as of date shown

Market Drivers

2/28/2026 to 9/13/2026
ReturnCorrelation
TVGN-44.3% 
Market (SPY)11.7%23.3%
Sector (XLV)3.6%9.4%

Fundamental Drivers

The -83.8% change in TVGN stock from 8/31/2025 to 9/13/2026 was primarily driven by a -14.0% change in the company's Shares Outstanding (Mil).
(LTM values as of)83120259132026Change
Stock Price ($)45.507.36-83.8%
Change Contribution By: 
Total Revenues ($ Mil)000.0%
P/S Multiple0.0%
Shares Outstanding (Mil)34-14.0%
Cumulative Contribution0.0%

LTM = Last Twelve Months as of date shown

Market Drivers

8/31/2025 to 9/13/2026
ReturnCorrelation
TVGN-83.8% 
Market (SPY)19.5%22.2%
Sector (XLV)21.9%9.9%

Fundamental Drivers

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Market Drivers

8/31/2023 to 9/13/2026
ReturnCorrelation
TVGN-98.6% 
Market (SPY)75.7%11.0%
Sector (XLV)30.0%6.7%

Return vs. Risk

Price Returns Compared

 202120222023202420252026Total [1]
Returns
TVGN Return-4%8%-91%-68%-56%-99%
Peers Return-46%-69%-32%-31%-26%74%-90%
S&P 500 Return27%-19%24%23%16%11%102%

Monthly Win Rates [3]
TVGN Win Rate-83%75%17%17%44% 
Peers Win Rate40%27%35%40%38%53% 
S&P 500 Win Rate75%42%67%75%67%44% 

Max Drawdowns [4]
TVGN Max Drawdown---8%-98%-80%-80% 
Peers Max Drawdown-63%-76%-79%-74%-65%-48% 
S&P 500 Max Drawdown-5%-25%-10%-8%-19%-9% 


[1] Cumulative total returns since the beginning of 2021
[2] Peers: ATRA, ALLO, FATE, IOVA, NKTX.
[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 9/11/2026 (YTD)

How Low Can It Go

EventTVGNS&P 500
2024 Yen Carry Trade Unwind
  % Loss-33.6%-7.8%
  % Gain to Breakeven50.6%8.5%
  Time to Breakeven9 days18 days

Compare to ATRA, ALLO, FATE, IOVA, NKTX

In The Past

Tevogen's stock fell -33.6% during the 2024 Yen Carry Trade Unwind. Such a loss loss requires a 50.6% 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.

EventTVGNS&P 500
2024 Yen Carry Trade Unwind
  % Loss-33.6%-7.8%
  % Gain to Breakeven50.6%8.5%
  Time to Breakeven9 days18 days

Compare to ATRA, ALLO, FATE, IOVA, NKTX

In The Past

Tevogen's stock fell -33.6% during the 2024 Yen Carry Trade Unwind. Such a loss loss requires a 50.6% 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 Tevogen (TVGN)

Tevogen Bio Holdings Inc. (TVGN) is a clinical-stage biotechnology company focused on developing advanced "off-the-shelf" precision T cell therapeutics. These innovative cellular therapies are designed to be readily available and broadly applicable, targeting significant medical challenges across virology, oncology, and neurology. The company's core mission is to create accessible immune-based treatments that address high-unmet needs in patient care.

Tevogen's lead investigational product is TVGN 489, a precision T cell therapy currently in clinical development. This product is specifically engineered to target acute-risk COVID-19 patients, aiming to provide a crucial treatment option for severe cases. Additionally, TVGN 489 is being developed to help a subset of patients experiencing persistent and debilitating symptoms of long COVID, serving a patient population in critical need of effective therapeutic interventions.

AI Analysis | Feedback

1. An early-stage Kite Pharma, but applying T-cell therapies to a broader range of diseases beyond cancer, including viral infections like COVID-19.

2. Similar to a developing Gilead Sciences, but focused on T-cell therapeutics for conditions like acute COVID-19 and long COVID, as well as oncology.

AI Analysis | Feedback

  • TVGN 489: An investigational precision T cell therapeutic designed to treat acute-risk COVID-19 patients and a subset of long COVID patients.
  • Off-the-shelf precision T cell therapeutics: These are advanced cellular therapies developed across virology, oncology, and neurology.

AI Analysis | Feedback

Tevogen Bio Holdings Inc. (TVGN) is a clinical-stage biotechnology company. This means the company is currently focused on the research, development, and clinical trials of its investigational products, such as TVGN 489. As of its current stage, Tevogen does not have any commercial products approved for sale and therefore does not have major commercial customers. Its primary activities involve clinical research and development rather than product sales.

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  • ICON plc (ICLR)
  • WuXi Advanced Therapies (WXATF)

AI Analysis | Feedback

Ryan Saadi, M.D., M.P.H. Chief Executive Officer and Founder

Dr. Ryan Saadi is the founder of Tevogen Bio, established in 2020. He brings nearly three decades of experience in healthcare, having held leadership roles in hospital administration, managed care, and life sciences. His career includes senior positions in market access, health policy, clinical development, and research at prominent organizations such as Janssen (Johnson & Johnson), CSL Behring, and Sanofi Genzyme.

Kirti Desai, CPA Chief Financial Officer

Kirti Desai serves as the Chief Financial Officer of Tevogen Bio.

Neal Flomenberg, M.D. Chief Scientific Officer and R&D Lead

Dr. Neal Flomenberg is the Chief Scientific Officer and R&D Lead at Tevogen Bio.

Sadiq Khan, MBA Chief Commercial Officer and Interim Head of Tevogen Generics

Sadiq Khan holds the position of Chief Commercial Officer and Interim Head of Tevogen Generics.

Stephen Chen, MBA Chief Technical Officer

Stephen Chen serves as the Chief Technical Officer.

AI Analysis | Feedback

The key risks for Tevogen Bio Holdings Inc. (TVGN) are primarily concentrated around its financial stability, the inherent challenges of clinical-stage drug development, and the evolving market landscape for its lead product.

  1. Financial Viability and Liquidity: Tevogen operates as a pre-revenue, clinical-stage company with a history of sustained losses and ongoing cash burn, indicating a weak financial position. The company's ability to maintain operations and fund its essential clinical trials is heavily dependent on securing significant external financing, which carries a substantial risk of further shareholder dilution. Furthermore, Tevogen has received notices from Nasdaq regarding non-compliance with minimum market value and bid price requirements, raising concerns about potential delisting. Analytics also indicate a high probability of the company facing financial distress in the near future.
  2. Clinical Development and Regulatory Approval Risks: As a biotechnology company, Tevogen's success hinges entirely on the successful progression of its investigational precision T-cell therapies, particularly TVGN-489, through rigorous clinical trials and ultimately obtaining regulatory approvals. Failures or significant delays at any stage of clinical development, or an inability to secure necessary regulatory endorsements, would severely jeopardize its business model and investment.
  3. Market Acceptance and Competition for COVID-19 Therapeutics: Tevogen's lead product, TVGN-489, targets acute-risk COVID-19 patients and those with long COVID. The market for COVID-19 treatments is dynamic and highly competitive, with numerous existing therapies and vaccines. The demand and urgency for new COVID-19 specific therapies are continually evolving, which could impact the commercial viability and market acceptance of TVGN-489, even if it achieves regulatory approval.

AI Analysis | Feedback

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AI Analysis | Feedback

Tevogen Bio Holdings Inc. (TVGN) operates in the biotechnology sector, developing precision T cell therapeutics. Its lead investigational product, TVGN 489, targets acute-risk COVID-19 patients and individuals suffering from long COVID.

The addressable markets for Tevogen's main products and services are significant:

  • For **Long COVID therapeutics**, the global market was valued at approximately USD 3.8 billion in 2025 and is projected to reach USD 18.05 billion by 2034, growing at a compound annual growth rate (CAGR) of 18.9%. North America is a leading region in this market, accounting for approximately USD 1.5 billion in 2025. Another report indicates the global Long COVID Syndrome Market was valued at USD 3.2 billion in 2023 and is projected to experience substantial growth to USD 32.8 billion by 2031, with a 34.7% CAGR.
  • For **acute-risk COVID-19 patients**, which falls under the broader severe acute respiratory syndrome coronavirus infection market, the market across the seven major markets (United States, EU4, United Kingdom, and Japan) reached USD 23.8 billion in 2024 and is expected to grow to USD 77.0 billion by 2035, exhibiting a CAGR of 11.29% during 2025-2035. The United States holds the largest patient pool and market for this treatment. Furthermore, the global COVID-19 Treatment market was valued at US$ 42.47 billion in 2025 and is expected to reach US$ 112.97 billion by 2034. The global COVID-19 Infection market was valued at USD 30.25 billion in 2025 and is expected to reach USD 79.28 billion by 2033, with North America dominating in revenue share.

AI Analysis | Feedback

Tevogen Bio Holdings Inc. (TVGN) anticipates several key drivers of future revenue growth over the next 2-3 years, primarily stemming from the advancement and commercialization of its diverse pipeline and strategic business expansion:

  1. Launch of Oncology Pipeline Products: Tevogen projects significant revenue from its oncology pipeline, with a top-line forecast of $1 billion in the launch year and a cumulative 5-year estimate ranging from $10 billion to $14 billion. This includes product candidates such as TVGN 489 for SARS-CoV-2 infection in cancer patients, TVGN 920 for cervical cancer prevention, TVGN 930 for EBV-associated lymphomas, and TVGN 960 for mouth and throat cancer.
  2. Commercialization of Specialty Care Pipeline Products: The company forecasts nearly $1 billion in revenue in the launch year for its specialty care pipeline, with a cumulative 5-year estimate between $18 billion and $22 billion. This pipeline includes TVGN 489, which is designed to address the unmet needs of acute-risk COVID-19 patients and those suffering from long COVID, as well as for SARS-CoV-2 infection in patients undergoing treatment for rheumatoid arthritis and psoriatic arthritis.
  3. Introduction of TVGN 116 for Liver Cancer Prevention: Tevogen has estimated a cumulative 5-year top-line revenue forecast of approximately $6.5 billion for its product candidate TVGN 116, which is focused on preventing liver cancer in individuals with high-risk chronic Hepatitis B infections.
  4. Strategic Acquisitions and Expansion into Healthcare Services: Tevogen is actively pursuing strategic acquisition initiatives, including a contract research organization (CRO) and other healthcare services, aimed at building a financially self-sufficient enterprise. If completed, these acquisitions could contribute approximately $100 million in combined annual revenue.
  5. Leveraging the ExacTcell™ Platform and PredicTcell™ AI Technology: The company's unique, faster, and cost-efficient drug development model, underpinned by its proprietary ExacTcell™ platform and PredicTcell™ AI technology, is expected to accelerate target prediction, shorten development timelines, and improve treatment accessibility. This technological advantage is a foundational driver that enables the efficient progression and commercialization of its therapeutic pipeline, thus supporting overall revenue growth.

AI Analysis | Feedback

Share Issuance

  • Tevogen Bio Holdings Inc. went public on February 15, 2024, when its common stock and public warrants began trading on Nasdaq, following a business combination.
  • In August 2024, a prospectus outlined the potential issuance of up to 17,974,978 shares of common stock upon the exercise of outstanding warrants, and the resale of up to 24,551,308 shares of Common Stock and 725,000 outstanding warrants by securityholders. The company could receive up to approximately $207 million from the cash exercise of these warrants, each with an exercise price of $11.50.
  • As of November 12, 2025, the company had an at-the-market (ATM) Sales Agreement for $50,000,000, through which it received net proceeds of $3.9 million.

Inbound Investments

  • Tevogen Bio Holdings Inc. has raised a total of under $42 million in cash since its inception to June 30, 2025.
  • On May 12, 2026, the company announced a $3 million private investment from The Patel Family, LLP, through the issuance of 375,000 prefunded warrants at an issue price of $8 per warrant.
  • As of November 2025, the company's liquidity sources included a related-party Loan Agreement with $4,400,000 outstanding and $21,000,000 remaining capacity, and KRHP grants totaling $3.0 million year-to-date with an additional $7.0 million committed.

Capital Expenditures

  • In the last 12 months, as of July 8, 2026, Tevogen Bio Holdings Inc.'s capital expenditures amounted to -$64,439.
  • The company spent $64.44K on capital expenditures in the most recent reported quarter.

Peer Outperformance in Biotechnology

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Share of Biotechnology constituents that TVGN has outperformed, by holding period. Peers without a full price history over a given window are excluded from that window.
1Y
8%
of 455 industry peers · -83.0% return
3Y
8%
of 401 industry peers · -98.6% return
5Y
insufficient peer history
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Median price return by industry across the Health Care sector, ranked by 5Y. Biotechnology is TVGN'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 7 7.1%86.3%123.6% CAH 402% · MCK 343% · COR 175%
Managed Health Care 8 43.7%-1.3%8.2% OSCR 84% · HQY 57% · ELV 23%
Health Care Services 20 18.9%44.9%0.0% HIMS 218% · RDNT 172% · DGX 67%
Health Care Facilities 24 3.7%7.9%-14.2% NHC 276% · THC 268% · ENSG 122%
Health Care Equipment 50 -1.7%-5.5%-25.7% POCI 10800% · UFPT 331% · GKOS 234%
Health Care Supplies 12 20.8%-12.1%-37.9% LNTH 308% · HAE 51% · MMSI 21%
Pharmaceuticals 62 -7.4%7.7%-40.7% LQDA 2457% · INDV 1136% · ETON 1063%
Life Sciences Tools & Services 109 -1.4%-25.5%-71.2% SNWV 1573% · MEDP 224% · NTRA 174%
Health Care Technology 20 -31.7%-52.2%-78.5% SPOK 77% · HSTM 3% · VEEV -12%
Biotechnology ← 362 1.6%-24.8%-79.6% DNTH 1632% · CELZ 1272% · ELVN 1222%
Median of constituents with a full price history over each window. Top names are unfiltered by size in this render.

Latest Trefis Analyses

Title
0ARTICLES

Recent Active Movers

Peer Comparisons

Peers to compare with:

Financials

TVGNATRAALLOFATEIOVANKTXMedian
NameTevogen Atara Bi.Allogene.Fate The.Iovance .Nkarta  
Mkt Price7.369.381.782.318.602.915.13
Mkt Cap0.00.10.60.33.90.20.2
Rev LTM065632505
Op Inc LTM-21-14-180-134-296-132-133
FCF LTM-12-22-103-106-296-94-98
FCF 3Y Avg-11-76-168-122-340-101-112
CFO LTM-12-22-102-102-264-93-97
CFO 3Y Avg-11-76-168-119-319-95-107

Growth & Margins

TVGNATRAALLOFATEIOVANKTXMedian
NameTevogen Atara Bi.Allogene.Fate The.Iovance .Nkarta  
Rev Chg LTM--96.7%--23.4%34.5%--23.4%
Rev Chg 3Y Avg-304.9%--48.1%4,780.4%-304.9%
Rev Chg Q--96.4%-9.2%65.7%-9.2%
QoQ Delta Rev Chg LTM--73.2%-2.8%13.8%-2.8%
Op Inc Chg LTM31.6%-277.0%25.2%24.8%27.9%-2.9%25.0%
Op Inc Chg 3Y Avg--43.6%20.2%17.7%10.4%0.8%10.4%
Op Mgn LTM--229.7%-3,886.1%-2,058.1%-91.1%--1,143.9%
Op Mgn 3Y Avg--170.8%--1,914.2%-554.2%--554.2%
QoQ Delta Op Mgn LTM--202.4%-149.4%34.2%-34.2%
CFO/Rev LTM--353.5%-2,202.5%-1,570.5%-81.3%--962.0%
CFO/Rev 3Y Avg--205.0%--1,358.9%-464.4%--464.4%
FCF/Rev LTM--353.5%-2,211.2%-1,627.8%-91.2%--990.6%
FCF/Rev 3Y Avg--205.3%--1,392.8%-482.4%--482.4%

Valuation

TVGNATRAALLOFATEIOVANKTXMedian
NameTevogen Atara Bi.Allogene.Fate The.Iovance .Nkarta  
Mkt Cap0.00.10.60.33.90.20.2
P/S-22.8126.242.811.9-32.8
P/Op Inc-1.3-9.9-3.2-2.1-13.1-1.6-2.7
P/EBIT-1.3-10.2-3.6-2.1-13.1-1.6-2.8
P/E-1.3-8.4-3.5-2.2-13.4-1.8-2.9
P/CFO-2.4-6.4-5.7-2.7-14.7-2.3-4.2
Total Yield-76.7%-11.8%-28.3%-45.3%-7.5%-54.1%-36.8%
Dividend Yield0.0%0.0%0.0%0.0%0.0%0.0%0.0%
FCF Yield 3Y Avg-259.3%-117.9%-45.6%-52.9%-29.9%-50.5%-51.7%
D/E0.30.10.10.30.00.30.2
Net D/E0.30.0-0.4-0.3-0.0-0.5-0.1

Returns

TVGNATRAALLOFATEIOVANKTXMedian
NameTevogen Atara Bi.Allogene.Fate The.Iovance .Nkarta  
1M Rtn7.1%15.9%-13.2%-10.1%23.2%24.9%11.5%
3M Rtn-29.7%-9.9%-6.3%12.1%110.8%1.7%-2.3%
6M Rtn36.8%44.3%-25.8%97.4%117.2%28.8%40.6%
12M Rtn-83.0%-22.6%57.5%139.9%278.9%47.7%52.6%
3Y Rtn-98.6%-75.5%-54.9%-2.1%85.1%77.4%-28.5%
1M Excs Rtn14.9%2.9%-12.8%-13.9%28.8%22.9%8.9%
3M Excs Rtn-40.5%-13.9%-8.9%13.7%113.6%1.9%-3.5%
6M Excs Rtn0.6%21.2%-42.7%82.7%96.5%12.3%16.8%
12M Excs Rtn-100.4%-37.6%43.1%113.8%244.1%26.8%35.0%
3Y Excs Rtn-170.1%-147.6%-128.2%-82.6%-27.9%-4.2%-105.4%

Comparison Analyses

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Financials

Segment Financials

Revenue by Segment
$ Mil20222021
Single Segment00
Total00


Assets by Segment
$ Mil20252024202320222021
Global discovery, development and commercialization of proprietary therapeutics436  
Single Segment   3578
Total4363578


Price Behavior

Price Behavior
Market Price$7.36 
Market Cap ($ Bil)0.0 
First Trading Date01/05/2022 
Distance from 52W High-83.0% 
   50 Days200 Days
DMA Price$6.14$10.39
DMA Trenddowndown
Distance from DMA19.9%-29.2%
 3M1YR
Volatility103.5%114.7%
Downside Capture283.58357.65
Upside Capture68.6685.29
Correlation (SPY)5.8%22.0%
TVGN Betas & Captures as of 8/31/2026

 1M2M3M6M1Y3Y
Beta0.781.800.592.372.031.25
Up Beta0.001.07-1.152.631.981.59
Down Beta3.08-2.17-1.820.991.311.04
Up Capture71%404%194%193%78%-0%
Bmk +ve Days10213268138427
Stock +ve Days10233460106292
Down Capture148%227%220%247%188%111%
Bmk -ve Days11213259113324
Stock -ve Days11193066143383

[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 TVGN
TVGN-83.2%114.0%-1.03-
Sector ETF (XLV)22.1%16.2%1.0410.0%
Equity (SPY)18.3%12.8%1.0322.3%
Gold (GLD)19.0%29.2%0.592.4%
Commodities (DBC)48.3%20.6%1.80-17.4%
Real Estate (VNQ)7.6%13.6%0.295.4%
Bitcoin (BTCUSD)-32.4%43.8%-0.7710.4%

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 TVGN
TVGN-57.4%164.5%-0.17-
Sector ETF (XLV)5.5%15.2%0.185.8%
Equity (SPY)12.5%17.2%0.559.0%
Gold (GLD)18.7%18.8%0.81-0.4%
Commodities (DBC)11.4%19.5%0.46-4.5%
Real Estate (VNQ)0.7%18.9%-0.076.0%
Bitcoin (BTCUSD)9.4%52.6%0.369.2%

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 TVGN
TVGN-34.7%164.5%-0.17-
Sector ETF (XLV)10.4%16.7%0.505.8%
Equity (SPY)15.2%17.9%0.729.0%
Gold (GLD)12.3%16.3%0.62-0.4%
Commodities (DBC)8.7%18.1%0.39-4.5%
Real Estate (VNQ)4.7%20.7%0.196.0%
Bitcoin (BTCUSD)63.2%66.2%1.039.2%

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Short Interest

Short Interest: As Of Date8312026
Short Interest: Shares Quantity0.1 Mil
Short Interest: % Change Since 81520262.3%
Average Daily Volume0.0 Mil
Days-to-Cover Short Interest10.4 days
Basic Shares Quantity3.8 Mil
Short % of Basic Shares1.6%

Earnings Returns History

Updated 9/10/2026
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 Forward Returns
Earnings Date1D Returns5D Returns21D Returns
4/26/202417.6%16.0%-3.5%
SUMMARY STATS   
# Positive110
# Negative001
Median Positive17.6%16.0% 
Median Negative  -3.5%
Max Positive17.6%16.0% 
Max Negative  -3.5%
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 Forward Returns
Earnings Date1D Returns5D Returns21D Returns
4/26/202417.6%16.0%-3.5%
SUMMARY STATS   
# Positive110
# Negative001
Median Positive17.6%16.0% 
Median Negative  -3.5%
Max Positive17.6%16.0% 
Max Negative  -3.5%

SEC Filings

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Report DateFiling DateFiling
06/30/202608/14/202610-Q
03/31/202605/15/202610-Q
12/31/202503/31/202610-K
09/30/202511/14/202510-Q
06/30/202508/14/202510-Q
03/31/202505/14/202510-Q
12/31/202404/02/202510-K
09/30/202411/19/202410-Q
06/30/202408/14/202410-Q
03/31/202405/28/202410-Q
12/31/202304/29/202410-K
06/30/202309/14/2023S-4
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Report DateFiling DateFiling
06/30/202608/14/202610-Q
03/31/202605/15/202610-Q
12/31/202503/31/202610-K
09/30/202511/14/202510-Q
06/30/202508/14/202510-Q
03/31/202505/14/202510-Q
12/31/202404/02/202510-K
09/30/202411/19/202410-Q
06/30/202408/14/202410-Q
03/31/202405/28/202410-Q
12/31/202304/29/202410-K
06/30/202309/14/2023S-4

Insider Activity

Updated 4/26/2026
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#OwnerTitleHoldingActionFiling DatePriceSharesTransacted
Value
Value of
Held Shares
Form
1Flomenberg, NealSee RemarksDirectSell31720266.405013,206492,416Form
2Flomenberg, NealSee RemarksDirectSell31720267.264523,282562,222Form
3Flomenberg, NealSee RemarksDirectSell31720267.7519147603,671Form
4Saadi, Ryan HChief Executive OfficerDirectSell60920251.231,438,2061,768,993143,681,778Form
Collapse to Preview
#OwnerTitleHoldingActionFiling DatePriceSharesTransacted
Value
Value of
Held Shares
Form
1Flomenberg, NealSee RemarksDirectSell31720266.405013,206492,416Form
2Flomenberg, NealSee RemarksDirectSell31720267.264523,282562,222Form
3Flomenberg, NealSee RemarksDirectSell31720267.7519147603,671Form
4Saadi, Ryan HChief Executive OfficerDirectSell60920251.231,438,2061,768,993143,681,778Form
Core Cache Last Updated: 9/13/2026