Cognition Therapeutics Inc (NASDAQ: CGTX) In 2025: Will It Be A Valuable Investment?

In the last trading session, 1.47 million shares of the Cognition Therapeutics Inc (NASDAQ:CGTX) were traded, and its beta was 1.02. Most recently the company’s share price was $0.42, and it changed around -$0.01 or -2.25% from the last close, which brings the market valuation of the company to $17.48M. CGTX currently trades at a discount to its 52-week high of $2.95, offering almost -602.38% off that amount. The share price’s 52-week low was $0.34, which indicates that the current value has risen by an impressive 19.05% since then.

Cognition Therapeutics Inc stock received a consensus recommendation rating of Buy, based on a mean score of 1.00. If we narrow it down even further, the data shows that 0 out of 5 analysts rate the stock as a Sell; another 1 rate it as Overweight. Among the rest, 0 recommended CGTX as a Hold, whereas 4 deemed it a Buy, and 0 rated it as Underweight. Cognition Therapeutics Inc is expected to report earnings per share of -0.15 for the current quarter.

Cognition Therapeutics Inc (NASDAQ:CGTX) trade information

Instantly CGTX has showed a red trend with a performance of -2.25% at the end of last trading. The performance over the last five days has remained in the red territory. The rise to weekly highs of 0.6150 on recent trading dayincreased the stock’s daily price by 31.71%. The company’s shares are currently down -40.01% year-to-date, but still down -18.56% over the last five days. On the other hand, Cognition Therapeutics Inc (NASDAQ:CGTX) is -41.81% down in the 30-day period.

Forecasts for the next quarter put sales growth at 0.00%.

Looking at the company’s year-over-year earnings, the past five years showed a negative earnings growth rate of -21.09%. Cognition Therapeutics Inc earnings are expected to increase by 4.46% in 2025, but the outlook is positive 9.38% per year for the next five years.

CGTX Dividends

Cognition Therapeutics Inc’s next quarterly earnings report is expected to be released in April.

AWM INVESTMENT COMPANY, INC., with 1.6224% or 0.65 million shares worth $1.08 million as of 2024-06-30, holds the second largest percentage of outstanding shares.

Vanguard Total Stock Market Index Fund and Vanguard Extended Market Index Fund were the top two Mutual Funds as of Sep 30, 2024 . The former held 1.01 shares worth $0.42 million, making up 2.43% of all outstanding shares. On the other hand, Vanguard Extended Market Index Fund held roughly 200.58 shares worth around $84382.0, which represents about 0.48% of the total shares outstanding.