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Hepion Pharmaceuticals Inc
Hepion Pharmaceuticals Inc (NASDAQ: HEPA) is engaged in the development of drug therapy related to the treatment of chronic liver diseases.
Investment Highlights – Speculative Buy at USD 1.58
Key Risks
Recent News
Russell Microcap® Index: On 09 June 2021, HEPA updated that it would join the Russell Microcap® Index effective from 28 June 2021.
Q1 FY21 Financial Highlights for the three months period ended 31 March 2021 (as of 14 May 2021)

(Source: Company Result)
One Year Share Price Chart

(Source: Refinitiv; Analysis done by Kalkine Group)
Conclusion
The lead drug candidate, CRV431, had achieved positive results for the Phase 2a ‘AMBITION’ NASH clinical trial. Moreover, the drug aimed to reduce liver fibrosis and cancerous tumours. The Company would require raising additional capital in future years to continue the development and commercialization of current product candidates. The stock made a 52-week High and Low of USD 4.83 and USD 1.45, respectively.
Considering the impressive top-line results for CRV431 and an increase in the cash balance during Q1 FY21, we have given a "Speculative Buy" stance on Hepion Pharmaceuticals Inc at the closing market price of USD 1.58 (as on 20 July 2021).

GTT Communications Inc
GTT Communications Inc (OTC: GTTN) is engaged in providing cloud networking services to multinational companies and government customers around United States, Europe, and other international markets.
Investment Highlights – Avoid at USD 0.71
Key Risks
Q1 FY20 Financial Highlights for the three months period ended 31 March 2020 (as of 08 May 2020)

(Source: Company Result)
One Year Share Price Chart

(Source: Refinitiv; Analysis done by Kalkine Group)
Conclusion
The Company had not disclosed financial results for Q2 FY20, Q3 FY20, Q4 FY20 and FY20, as it had identified certain errors in FY19 results. Thus, the lack of latest financial data would create doubts regarding the growth prospects of the Company. Meanwhile, the top-line revenue and bottom-line profitability had witnessed a downtrend during Q1 FY20. The stock made a 52-week High and Low of USD 7.41 and USD 0.65, respectively.
Considering the lack of recent financial data and delisting from NYSE, we have given an "Avoid" stance on GTT Communications Inc at the closing market price of USD 0.71 (as on 20 July 2021), while we will re-evaluate our stance after analysing the FY20 results.
*The reference data in this report has been partly sourced from REFINITIV.
*Depending upon the risk tolerance, investors may consider unwinding their positions in a respective stock once the estimated target price is reached.
Disclaimer
The advice given by Kalkine Canada Advisory Services Inc. and provided on this website is general information only and it does not take into account your investment objectives, financial situation and the particular needs of any particular person. You should therefore consider whether the advice is appropriate to your investment objectives, financial situation and needs before acting upon it. You should seek advice from a financial adviser, stockbroker or other professional (including taxation and legal advice) as necessary before acting on any advice. Not all investments are appropriate for all people. The website www.kalkine.ca is published by Kalkine Canada Advisory Services Inc. The link to our Terms & Conditions has been provided please go through them. On the date of publishing this report (mentioned on the website), employees and/or associates of Kalkine do not hold positions in any of the stocks covered on the website. These stocks can change any time and readers of the reports should not consider these stocks as advice or recommendations later.
Past performance is not a reliable indicator of future performance.
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