D
Vigil Neuroscience, Inc. VIGL
$1.48 -$0.08-5.13%
Recommendation
Prev Close
Volume
Avg Vol (90D)
Market Cap
Dividend & Yield
--
52-Week Range
P/E (TTM)
--
EPS (TTM)
VIGL market cap represents 0.00% of the sector.
Valuation
VIGL
Low
VIGL
Sector Average
High
Market Cap
72.81M
< 72.81M
> 15.90B
Enterprise Value
-12.04M
< -20.00M
> 18.12B
Price/Earnings (TTM)
-0.75
< -10.00
> 10.00
Earnings Per Share Growth (TTM)
-3.01%
< -70.00%
> 0.00%
Price/Earnings To Growth (TTM)
--
0.00
11.91
Price/Sales (TTM)
--
-0.633
21,200.000
Price/Book (Q)
0.89
< 0.00
> 20.00
Enterprise Value/Revenue (TTM)
--
-9,529.63
11,770.39
Enterprise Value/EBITDA (TTM)
0.13
< 0.00
> 10.00
Enterprise Value/EBIT (TTM)
0.13
< 0.00
> 10.00
Dividends and Shares
VIGL
Low
VIGL
Sector Average
High
Shares Outstanding
41.66M
< 40.00M
> 250.00M
Dividend Per Share (Most Recent)
--
0.00
2.38
Dividend Per Share (TTM)
--
0.00
9.13
Dividend Yield (TTM)
--
0.00%
8.58%
Payout Ratio (TTM)
--
-1,820.24
926.87
Price History
VIGL
Low
VIGL
Sector Average
High
Beta
1.46
< 0.00
4.98
1-Month Total Return
-34.18%
< -40.00%
> 0.00%
3-Month Total Return
-13.33%
< -50.00%
> -10.00%
6-Month Total Return
-54.12%
< -60.00%
> 0.00%
Year to Date Total Return
-11.86%
< -40.00%
> 0.00%
1-Year Total Return
-53.15%
< -60.00%
> 0.00%
2-Year Total Return
-83.21%
< -90.00%
> 20.00%
3-Year Total Return
-77.71%
< -80.00%
> 0.00%
5-Year Total Return
--
-100.00%
17,554.00%
Profitability
VIGL
Low
VIGL
Sector Average
High
Operating Margin (TTM)
--
-1,170,372.72%
423.48%
Profit Margin (TTM)
--
-1,170,863.63%
843,786.00%
Management Effectiveness
VIGL
Low
VIGL
Sector Average
High
Return on Assets (TTM)
-43.36%
< -50.00%
> -10.00%
Return on Equity (TTM)
--
0.26%
1,905.92%
Income Statement
VIGL
Low
VIGL
Sector Average
High
Revenue (TTM)
--
-4.27M
370.66B
Total Revenue (TTM)
--
-4.27M
400.28B
Total Revenue Growth (Q YOY)
--
-127.78%
206,582.61%
Revenue Per Share (TTM)
--
-8.53
37,070.00
Gross Profit (TTM)
--
-2.77B
89.40B
EBITDA (TTM)
-89.23M
< -90.00M
> 1.15B
EBIT (TTM)
-89.68M
< -90.00M
> 780.00M
Net Income (TTM)
-84.26M
< -90.00M
> 300.00M
Net Income Avl. to Common (TTM)
-84.26M
< -90.00M
> 300.00M
Earnings Growth (Q YOY)
-7.47%
< -150.00%
> 0.00%
EPS Diluted (TTM)
-2.07
< -4,610.00
> 0.00
EPS Diluted Growth (Q YOY)
-0.19%
< -10.00%
> 90.00%
Balance Sheet
VIGL
Low
VIGL
Sector Average
High
Cash and Short-Term Inv. (Q)
97.80M
< 90.00M
> 1.44B
Cash Per Share (Q)
2.35
0.00
> 210.00
Total Current Assets (Q)
100.58M
< 100.00M
> 3.65B
Total Assets (Q)
117.69M
< 110.00M
> 10.33B
Total Current Liabilities (Q)
34.15M
< 30.00M
> 2.72B
Total Debt (Q)
12.95M
< 10.00M
> 3.32B
Total Liabilities (Q)
46.06M
< 40.00M
> 6.49B
Total Common Equity (Q)
71.64M
< 70.00M
> 3.74B
Total Preferred Equity (Q)
--
0.00
920.42M
Total Equity (Q)
71.64M
< 70.00M
> 3.84B
Current Ratio (Q)
2.946
0.086
> 20.000
Book Value Per Share (Q)
1.75
< 0.00
> 1,210.00
Cash Flow
VIGL
Low
VIGL
Sector Average
High
Cash from Operations (TTM)
-51.22M
< -60.00M
> 760.00M
Cash from Investing (TTM)
8.76M
< -620.00M
> 10.00M
Cash from Financing (TTM)
29.49M
< -190.00M
> 30.00M
Net Change in Cash (TTM)
-12.97M
< -30.00M
> 0.00
Levered Free Cash Flow (TTM)
-21.95M
< -30.00M
> 570.00M
TTM - Trailing twelve months. Q - Most recent quarter. YOY - Year over year.
The comparison requires a security to have a minimum 30 day average trading volume of 100,000 at $1 or over, or a $5 minimum price.
* Lowest and highest value for any one individual security in the sector.
Weiss Ratings