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SWK Holdings Corporation 9.00% Senior Notes due 2027
SWKHL

SWKHL SWK Holdings Corporation 9.00% Senior Notes due 2027

SWK Holdings Corporation 9.00% Senior Notes due 2027 · NASDAQ
Market Closed
25.04
▼ ⁦-0.08%⁩ (-0.02)
Market Cap$190.8M
Beta0.06
52w Low52w High
24.3425.92
Last Week
⁦-2.15%⁩
Last Month
⁦-1.53%⁩
Last 3 Months
⁦-0.71%⁩
Last Year
⁦-1.42%⁩
EL7 Factor Analysis
How we score this
Overall48
Balanced — near the middle of the marketTurnaroundF 5/9Better than 48% of Market stocks, per EL7's model
FactorScoreDistributionValueAvgRank
▸
Valuation
52
—17.6xAround median
▸
Growth
27
-7.8%▼7.1%Bottom tier
▸
Quality
24
——Bottom tier
▸
Safety
92
——Top tier
▸
Capital Return
64
15.97%▲2.15%Around median
▸
Momentum
58
0.1%▼2.3%Around median
▸
Sentiment
2
1▼3Bottom tier

Frequently Asked Questions

What is SWK Holdings Corporation 9.00% Senior Notes due 2027 stock?▼

SWK Holdings Corporation 9.00% Senior Notes due 2027 is a publicly traded stock representing ownership in the company, giving holders rights to dividends and voting.

How can I invest in SWK Holdings Corporation 9.00% Senior Notes due 2027?▼

You can buy SWK Holdings Corporation 9.00% Senior Notes due 2027 shares through a licensed brokerage. Research the company's financials before investing.

What are the key metrics for evaluating SWK Holdings Corporation 9.00% Senior Notes due 2027?▼

Key metrics include Price-to-Earnings (P/E) ratio, Return on Equity (ROE), revenue growth, and net profit margin.

Does SWK Holdings Corporation 9.00% Senior Notes due 2027 pay dividends?▼

Dividend policies vary by company. Check the dividends section on the stock page for the payout history.

What are the risks of investing in SWK Holdings Corporation 9.00% Senior Notes due 2027?▼

Risks include market volatility, sector-specific risks, regulatory changes, and company financial performance. Diversification helps reduce risk.

Fair Value
Low confidenceCurrent price$25
Analyst target
No data
vs
DCF (estimate)
$74
⁦+196%⁩
Sees it clearly undervalued
⁦7.9⁩% discount · ⁦4⁩% growth

Estimates — analyst targets and a simplified DCF, not investment advice.

Compare in the screener

AI analysis from the earnings call, financials and news

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Key Financials

Ten ratios that matter, each compared against its sector median and average — so you can see whether a number is rich or cheap relative to peers in the same sector.

StockSector medianSector averagetypical sector range
MetricValuePosition within sectorVerdict
  • P/E (TTM)
    —
    —
  • Forward P/E
    —
    —
  • EV / EBITDA
    14.43x
    3.03x24.25x
    Cheap
  • FCF Yield
    8.8%
    -17.2%19.3%
    Strong
  • Revenue Growth YoY
    -7.8%
    -36.5%103.4%
    Below average
  • EPS Growth YoY
    -119.3%
    -99.7%194.2%
    Weak
  • Gross Margin
    93.7%
    23.3%98.3%
    Strong
  • ROIC
    -0.8%
    -36.5%24.6%
    Above average
  • Net Debt / EBITDA
    —
    —
  • Dividend Yield
    16.0%
    0.6%9.1%
    High
  • Payout Ratio
    —
    —
  • Altman Z-Score
    —
    —
Financial Analysis
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