HQL is a mutual fund — prices shown are end-of-day NAV. Analyst ratings, insider activity, and 13F data apply to individual stocks, not funds.
Tekla Life Sciences Investors
HQL
NYSE·Financial Services·Asset Management·Mkt cap $580.8M
$20.64
▼ -0.34%
P/E
3.43
Mkt Cap
$580.8M
52-Wk Range
$13.88–$22.67
52-Week Range
$13.88 - $22.67
P/E
Fwd P/E
Beta
Div Yield
Avg Vol
Shares Out
Mkt Cap
Price action
Price chart
Up 49.1% over the trailing year
Total returns
Price performance
Total return across standard periods - splits & dividends adjusted by FMP. Periods longer than 1Y show annualized in the tooltip.
Why we rate it this way
The thesis at a glance
Bull and bear case · plain-English context across the five lenses we evaluate.
Bull Case
4 reasons
- Specialized expertise in life sciences sector research and analysis
- Experienced management team with deep technological and market knowledge
- Focus on small-cap growth opportunities with limited analyst coverage
- Long-term track record since 1992 in healthcare equity investing
Bear Case
1 risk
- Low volatility (beta 0.7).
Growth
No forward estimates available
Rising global healthcare spending and aging populations
Value
Valuation data unavailable
Momentum
Strong
+10.1% over 3m
Quality
Excellent
Exceptional business - top-tier fundamentals
Dividend
High yield
10.36% yield
Smart-money signal
Who's buying HQL right now
Insider Form 4s, 13F institutional filings, and Congressional disclosures - at a glance.
Earnings track record
Recent earnings results
AI-summarized recap of last quarter, plus the surprise on every print.
Most recent quarter reported revenue of $11.6M (+508% YoY). Reported EPS of $4.60. Gross margin 79.0%.
Reported EPS · last 4Q
Q4 25
$4.60
Q2 25
-$1.64
Q4 24
$1.22
Q2 24
$1.84
Revenue trend · last 8Q
—
—
-81%
+36%
+7%
-94%
+781%
+508%
Q2 22
Q4 22
Q2 23
Q4 23
Q2 24
Q4 24
Q2 25
Q4 25
$10.2M
$21.7M
$1.9M
$29.6M
$2.1M
$1.9M
$18.2M
$11.6M
Margins · last 8Q
Gross
79.0%
Operating
—
Profit
1141.8%
Wall Street consensus
Analyst coverage
Live ratings and price targets aggregated across covering analysts.
vs Industry
How HQL stacks vs Asset Management
Stock metrics vs industry averages. Green = better than industry.
Industry comparison data unavailable for this stock.
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