Original assessment ยท live

PBYI: Hold + Reduce

Published 23 Sep 2026, 00:46 BST. This is the frozen version, not the current recommendation.

Target$7.72
Target date2027-09-23
Price known at publication$9.602026-09-18

Why this assessment was issued

First recorded assessment.

The central target is 19.6% below the price. The decline falls short of the 25% Sell requirement.

Supporting evidence

Borrowing is lower relative to earnings

Net debt / EBITDA: -0.8ร— for PBYI, against 0.2ร— across 12 comparable peers.

Compare the stock with its market

Over one year, the stock changed +117.2% against +14.8% for US stocks (SPY). The gap is +102.4 percentage points. These are price returns, before dividends.

Opposing evidence

Year-to-date profit is lower

Across 2 completed quarters since 2025-12-31, net income was 4.4m versus 8.8m in the matching prior-year periods (USD). Check whether the latest quarter changes that direction.

Price has outpaced earnings

Over 1 year (2025-09-19 to 2026-09-18), price changed +117.2% and trailing EPS changed -44.3%. A wider gap changes the earnings multiple; it does not establish fair value.

The original scenarios

ScenarioSales growthProfit marginModel value
Weaker-8.8%11.6%$5.45
Central2.6%13.3%$7.72
Stronger14.0%15.0%$11.06

Method: Cash flow across the cycle. Loss periods, gaps or differences in the earnings basis make P/E less useful here. This assessment uses operating profit, capital spending and the balance sheet instead. Loss years remain in the margin history. The earnings method could not pass its required checks; the cash-flow method passed its own input checks. These scenarios are not probability intervals.

Original assumptions and checks
tax25
price9.6
years1.2320328542094456
claims0.0
growth2.5805655002504144
margin13.16185501029216
profit26718000.0
shares51620066.0
cash_okTrue
debt_okTrue
growths[-32.36448064363935, 27.719755573234938, -2.593083661181994, 7.754214661682823]
revenue231244000.0
discount10.01976096421368
downside43.19622932127552
interest3519000.0
leverage-0.7693029269588127
net_debt-31720000.0
terminal2
free_cash41086000.0
ppe_ratio0.0004454169621698293
buy_hurdle29.122474650977665
extra_debt0
volatility48.24494930195533
basis_notes[]
capex_ratio0.0002681150646070817
cash_profit26718000.0
share_ratioNot available
annual_years5
capital_cost{'tax': 25.0, 'beta': 0.8723711313682637, 'debt': 4817000.0, 'beta_end': '2026-09-18', 'discount': 10.01976096421368, 'debt_cost': 73.05376790533528, 'risk_free': 5.01, 'beta_start': '2023-09-29', 'beta_weeks': 156, 'source_url': 'https://home.treasury.gov/resource-center/data-chart-center/interest-rates', 'debt_weight': 0.962688316104081, 'equity_cost': 9.584570437894211, 'equity_value': 495552633.59999996, 'adjusted_beta': 0.9149140875788424, 'credit_spread': 1.5, 'equity_premium': 5.0, 'risk_free_date': '2026-09-18', 'observed_interest': 73.05376790533528}
depreciation4.531577035512273
normal_capex4.531577035512273
tax_measuredFalse
current_capex0.026811506460708172
working_ratio0.00775803912750167
financial_date2026-06-30
interest_cover8.73916800736624
operating_cash41148000.0
terminal_share73.93049211407683
reporting_basisquarterly
uncapped_growth2.5805655002504144
projected_margin13.298996824964883
capital_inventory{'date': '2026-06-30', 'values': {'physical_ppe': 103000.0, 'total_assets': 192736000.0, 'total_equity': 138544000.0, 'cash_and_equivalents': 36537000.0, 'total_current_assets': 145072000.0, 'financial_debt_current': 0.0, 'operating_lease_assets': 4420000.0, 'short_term_investments': 57366000.0, 'financial_debt_noncurrent': 0.0, 'total_current_liabilities': 49825000.0, 'operating_lease_noncurrent': 4367000.0}, 'version': 'capital-scope-3', 'currency': 'USD', 'evidence': {'physical_ppe': [{'end': '2026-06-30', 'tag': 'PropertyPlantAndEquipmentNet', 'unit': 'USD', 'filed': '2026-08-06', 'value': 103000.0, 'accession': '0001437749-26-026311', 'source_url': 'https://www.sec.gov/Archives/edgar/data/1401667/000143774926026311/0001437749-26-026311-index.html'}], 'total_assets': [{'end': '2026-06-30', 'tag': 'Assets', 'date': '2026-06-30', 'unit': 'USD', 'field': 'total_assets', 'filed': '2026-08-06', 'scope': 'consolidated statement', 'start': None, 'value': 192736000.0, 'source_url': 'https://www.sec.gov/Archives/edgar/data/1401667/000143774926026311/pbyi20260630_10q.htm', 'statement_table': 24, 'statement_verified': True}], 'total_equity': [{'end': '2026-06-30', 'tag': 'StockholdersEquity', 'date': '2026-06-30', 'unit': 'USD', 'field': 'total_equity', 'filed': '2026-08-06', 'scope': 'consolidated statement', 'start': None, 'value': 138544000.0, 'source_url': 'https://www.sec.gov/Archives/edgar/data/1401667/000143774926026311/pbyi20260630_10q.htm', 'statement_table': 24, 'statement_verified': True}], 'cash_and_equivalents': [{'end': '2026-06-30', 'tag': 'CashAndCashEquivalentsAtCarryingValue', 'date': '2026-06-30', 'unit': 'USD', 'field': 'cash_and_equivalents', 'filed': '2026-08-06', 'scope': 'consolidated statement', 'start': None, 'value': 36537000.0, 'source_url': 'https://www.sec.gov/Archives/edgar/data/1401667/000143774926026311/pbyi20260630_10q.htm', 'statement_table': 24, 'statement_verified': True}], 'total_current_assets': [{'end': '2026-06-30', 'tag': 'AssetsCurrent', 'date': '2026-06-30', 'unit': 'USD', 'field': 'total_current_assets', 'filed': '2026-08-06', 'scope': 'consolidated statement', 'start': None, 'value': 145072000.0, 'source_url': 'https://www.sec.gov/Archives/edgar/data/1401667/000143774926026311/pbyi20260630_10q.htm', 'statement_table': 24, 'statement_verified': True}, {'end': '2026-06-30', 'unit': 'USD', 'value': 145072000.0, 'financial_period_id': 6049847}], 'financial_debt_current': [{'end': '2026-06-30', 'tag': 'LongTermDebtCurrent', 'date': '2026-06-30', 'unit': 'USD', 'field': 'financial_debt_current', 'filed': '2026-08-06', 'scope': 'consolidated statement', 'start': None, 'value': 0.0, 'source_url': 'https://www.sec.gov/Archives/edgar/data/1401667/000143774926026311/pbyi20260630_10q.htm', 'statement_table': 24, 'statement_verified': True}], 'operating_lease_assets': [{'end': '2026-06-30', 'tag': 'OperatingLeaseRightOfUseAsset', 'unit': 'USD', 'filed': '2026-08-06', 'value': 4420000.0, 'accession': '0001437749-26-026311', 'source_url': 'https://www.sec.gov/Archives/edgar/data/1401667/000143774926026311/0001437749-26-026311-index.html'}], 'short_term_investments': [{'end': '2026-06-30', 'tag': 'MarketableSecuritiesCurrent', 'date': '2026-06-30', 'unit': 'USD', 'field': 'short_term_investments', 'filed': '2026-08-06', 'scope': 'consolidated statement', 'start': None, 'value': 57366000.0, 'source_url': 'https://www.sec.gov/Archives/edgar/data/1401667/000143774926026311/pbyi20260630_10q.htm', 'statement_table': 24, 'statement_verified': True}, {'end': '2026-06-30', 'unit': 'USD', 'value': 57366000.0, 'financial_period_id': 6049847}], 'financial_debt_noncurrent': [{'end': '2026-06-30', 'tag': 'LongTermDebtNoncurrent', 'unit': 'USD', 'filed': '2026-08-06', 'value': 0.0, 'accession': '0001437749-26-026311', 'source_url': 'https://www.sec.gov/Archives/edgar/data/1401667/000143774926026311/0001437749-26-026311-index.html'}], 'total_current_liabilities': [{'end': '2026-06-30', 'tag': 'LiabilitiesCurrent', 'date': '2026-06-30', 'unit': 'USD', 'field': 'total_current_liabilities', 'filed': '2026-08-06', 'scope': 'consolidated statement', 'start': None, 'value': 49825000.0, 'source_url': 'https://www.sec.gov/Archives/edgar/data/1401667/000143774926026311/pbyi20260630_10q.htm', 'statement_table': 24, 'statement_verified': True}, {'end': '2026-06-30', 'unit': 'USD', 'value': 49825000.0, 'financial_period_id': 6049847}], 'operating_lease_noncurrent': [{'end': '2026-06-30', 'tag': 'OperatingLeaseLiabilityNoncurrent', 'date': '2026-06-30', 'unit': 'USD', 'field': 'operating_lease_noncurrent', 'filed': '2026-08-06', 'scope': 'consolidated statement', 'start': None, 'value': 4367000.0, 'source_url': 'https://www.sec.gov/Archives/edgar/data/1401667/000143774926026311/pbyi20260630_10q.htm', 'statement_table': 24, 'statement_verified': True}]}, 'conflicts': []}
cash_profit_basisReported net profit
historical_margin13.298996824964883
year5_value_share73.93049211407683
depreciation_ratio0.04531577035512273
net_debt_at_target-31720000.0
investment_treatment{'basis': 'Marketable investments use their reported carrying value, separately from cash and operating profit. No future gain or sale is assumed. Long-term holdings and material tax claims require their own basis.', 'version': 'capital-scope-3', 'complete': True, 'gross_investments': 57366000.0, 'working_ratio_after': 0.00775803912750167, 'working_ratio_before': 0.255833664873467, 'marketable_investments': 57366000.0}
non_operating_assets57366000.0
non_operating_profit_materialFalse

Recent price ยท Passed. Weekly close dated 2026-09-18.

Current financials ยท Passed. Statements through 2026-06-30; factor prices dated 2026-09-18.

Price risk ยท Passed. Risk uses the latest 52 weekly price changes.

Operating history ยท Passed. 5 annual results, retaining operating losses and unusually strong years.

Quarterly operating results ยท Passed. Four quarters through 2026-06-30.

Cash-flow and ownership inputs ยท Passed. Capital spending, depreciation estimate, operating capital, debt, cash and other ownership claims are recorded.

Depreciation basis ยท Passed. Four matching quarters of operating income and reported depreciation are required. An unrelated EBITDA-minus-EBIT difference is not treated as depreciation.

Matching currency ยท Passed. USD statements and share price.

Operating totals ยท Passed. Quarterly sales and operating profit agree with the trailing snapshot within 5%.

Operating discount rate ยท Passed. The operating cash-flow discount rate needs a current USD Treasury rate, at least two years of matching market returns, and dated debt and share inputs. An equity return hurdle is not used as the company's funding cost.

Continuing growth and funding cost ยท Passed. The funding cost must exceed continuing growth in every valuation scenario.

Scenario consistency ยท Passed. The weaker, central and stronger assumptions must give an ordered range. When growth costs more capital than it earns, a tailored operating review is required before publishing a target.

Target publication review ยท Passed. The model estimate is within SM's automatic publication range of one quarter to four times the current price. This is a review threshold, not evidence that the market price is correct.

Cash-flow value dependence ยท Passed. Cash flows beyond year five account for 73.9% of the absolute present value. This is within SM's 90% automatic publication limit.

Investment assets and operating capital ยท Passed. No material unvalued investment balance was identified in the available capital inventory. This does not establish that every asset has been independently appraised.

Policy sm-review-2-research ยท Model sm-assessment-14-operating-capital ยท Data 88feaff6478c.

Open current research โ†—

Evidence context