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HBMN.SW (SIX) is a cross-listing of 0QOC.L (LSE). Showing primary listing data.

0QOC.L

HBM Healthcare Investments AG
1W: +0.2% 1M: -3.1% 3M: +10.5% YTD: -5.2% 1Y: +33.9% 3Y: -7.2% 5Y: +21.9%
CHF 211.00 ($266.42)
+4.29 (+2.08%)
 
LSE · Financial Services · Financial - Diversified · CHF 1.4B
Smart Money Score
No convergence signal
Key Statistics
Market CapCHF 1.4B ($1.8B)
52W Range136.8-223.54594
Volume857
Avg Volume965
Beta0.86
DividendCHF 7.50
Analyst Ratings
No analyst coverage
Company Info
CEOAndreas Wicki
SectorFinancial Services
IndustryFinancial - Diversified
IPO Date2014-03-20
Bundesplatz 1
Zug 6301
CH
41 43 888 7171
About HBM Healthcare Investments AG

HBM Healthcare Investments AG specializes in fund of funds and direct investments in middle market and mature companies. The fund prefers to invest in start up, early stage, mid stage, mid venture, late venture, and late stage private companies, unlisted emerging companies, small cap public companies, buyouts, growth capital, and private investment in public equities (PIPES). Within fund of funds, it invests in venture capital funds. It also seeks to finance spin-offs of product lines or departments from larger corporations and the expansion or restructuring of established companies, seed stages, venture capital, expansion capital stages, spin-offs, and buyouts. The fund prefers to invest in the private and public companies in the healthcare sector with a focus on human medicine, drugs, pharma , biopharma, biotechnology, diagnostics, medical technology, and related industries. It seeks to make initial investments in companies whose primary products are in clinical development or the immediately preceding stage. The fund typically invests globally with a focus on Asia Pacific, Asia, North America, and Europe. In case of public companies, it focuses on those which originate from its private portfolio. The fund increases its investment in portfolio companies by participating in a follow-on financing or after the portfolio company's IPO. It may acquire majority participations in portfolio companies, usually takes a seat on the portfolio company's Board of Directors, and largely makes equity investments but may also invest through other instruments including convertible bonds, debt securities, structured products, and derivatives. The fund exits its portfolio companies through trade sale or IPO.

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