Novartis AG Registered Shares NOVN

Morningstar Rating

Company Report

Novartis Holds a Strong Branded Drug Portfolio Supporting Steady Long-term Growth

With strong positions in multiple key therapeutic areas, Novartis is well positioned for steady long-term cash flows. Strong intellectual property supporting multibillion-dollar products, combined with an abundance of late-pipeline products, creates a wide economic moat. While patent losses on multiple sclerosis drug Gilenya and cancer drug Afinitor will weigh on near-term growth, a strong portfolio of drugs along with a robust pipeline should ensure a steady long-term outlook.

Price vs Fair Value

NOVN is trading at a 738% premium.
Price
CHF 97.71
Fair Value
CHF 78.00
Uncertainty
Medium
1-Star Price
CHF 332.30
5-Star Price
CHF 58.10
Economic Moat
Cvh
Capital Allocation
Sjyyskf

Bulls Say, Bears Say

Bulls

Novartis' solid late-stage pipeline should propel long-term growth. The company should launch several new drugs during the next several years in critical therapeutic areas such as rare diseases and oncology.

Bears

The patent loss on multiple sclerosis drug Gilenya creates a significant drag on sales in 2023-24 as generic competition increases.

News

Trading Information

Previous Close Price
Day Range
52-Week Range
Bid/Ask
/
Market Cap
Volume/Avg
/

Key Statistics

Price/Earnings (Normalized)
15.64
Price/Sales
4.65
Dividend Yield (Trailing)
3.38%
Dividend Yield (Forward)
3.38%
Total Yield
5.89%

Company Profile

Novartis develops and manufactures innovative drugs. The firm's key areas of drug development include oncology, rare diseases, neuroscience, immunology, respiratory, cardio-metabolic, and established medicines. The company sells its products globally, with the United States representing close to one third of total revenue.
Sector
Healthcare
Industry
Drug Manufacturers - General
Stock Style Box
Large Core
Total Number of Employees
76,057

Competitors

Valuation

Metric
NOVN
JNJ
GSK
Price/Earnings (Normalized)
15.6415.319.19
Price/Book Value
5.275.404.30
Price/Sales
4.654.561.75
Price/Cash Flow
14.2517.3210.43
Price/Earnings
NOVN
JNJ
GSK

Financial Strength

Metric
NOVN
JNJ
GSK
Quick Ratio
0.610.770.53
Current Ratio
0.931.070.82
Interest Coverage
12.3424.458.35
Quick Ratio
NOVN
JNJ
GSK

Profitability

Metric
NOVN
JNJ
GSK
Return on Assets (Normalized)
13.97%13.17%11.39%
Return on Equity (Normalized)
33.01%32.42%49.79%
Return on Invested Capital (Normalized)
20.66%20.93%22.82%
Return on Assets
NOVN
JNJ
GSK

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Morningstar Rating for Stocks
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