PAVM · NASDAQ · Medical - Devices

PAVmed (PAVM)

Building digital oncology, esophageal diagnostics, and medical-device platforms through a shared-services model.

$5.29
Pre-market−0.36 (−6.37%)
At close$5.65(+13.23%)
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PAVmed Inc.PAVMHealth Care

Develops and supports digital oncology, esophageal diagnostics, and medical-device businesses, earning reported revenue from Veris subscriptions while receiving Lucid management-service income. Its shared-services model spans separately financeable businesses, though Lucid is no longer consolidated.

Operates as a founder-led life-sciences holding and development company, centralizing management, finance, legal, regulatory, human-resources, sales, and marketing functions across separately financeable businesses. The portfolio includes Veris Health's Cancer Care Platform, a significant Lucid Diagnostics investment, and directly developed medical-device technologies.

Veris combines remote physiologic data, symptom reporting, telehealth, EHR integration, a patient app, clinician portal, and connected devices, producing subscription revenue from oncology deployments. The shared-services model also supplies Lucid with operating infrastructure, while PortIO and Duke-licensed endoscopic imaging remain in development.

Revenue and segment assets are concentrated in the United States. Lucid is not consolidated after PAVmed lost its controlling financial interest; its management-services agreement can be terminated by Lucid, while the active device portfolio remains subject to development, regulatory, manufacturing, reimbursement, and adoption steps.

Company facts

CEOLishan Aklog, M.D.
ListedJul 27, 2016
ExchangeNASDAQ
HeadquartersNew York, NY
CountryUnited States
Employees41
CIK0001624326
ISINUS70387R5028

Market cap$34.1M
EPS (ttm)−$16.36
P/E (ttm)−0.3270
ROE-33.5%
P/B0.9570
P/S304.91
Dividend yieldDiv yield
Beta1.49vs XLV 0.76

No analyst consensus on record.

Next report
Nov 12, 2026
in 70 days
EPS estimate
−$0.63
Revenue estimate
$25.0K
Fiscal quarter
Q3 FY26

EPSReportedEstimate

Mar '25May '25Aug '25Nov '25Mar '26May '26Aug '26Nov '26
Reported−$0.06−$0.07−$0.05−$8.41−$2.05−$4.42−$0.87Pending
Estimate−$0.40−$0.29−$0.25−$6.01−$4.50−$0.69−$0.47−$0.63
Surprise+85.0%+75.9%+80.0%−39.9%+54.4%−540.6%−85.1%

RevenueReportedEstimate

Mar '25May '25Aug '25Nov '25Mar '26May '26Aug '26Nov '26
Reported$10.0K$8.0K$6.0K$5.0K$52.0K$22.0K$33.0KPending
Estimate$21.0K$10.0K$10.0K$12.5K$25.0K$74.0K$48.0K$25.0K
Surprise−52.4%−20.0%−40.0%−60.0%+108.0%−70.3%−31.3%
Estimate−$0.63
ReportedDue Nov 12, 2026
Estimate$25.0K
ReportedDue Nov 12, 2026
View details

Debt to equity48.70%
Current ratio118.80%

ProfitabilityRevenueNet incomeNet margin

Q3 FY24Q4 FY24Q1 FY25Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26
Revenue$996.0K$10.0K$8.0K$6.0K$5.0K$52.0K$22.0K$33.0K
Net income$64.4M$1.4M$19.0M−$11.9M−$5.4M−$1.3M−$60.0K−$5.4M
Net margin6,465.8%14,310.0%237,100.0%0.0%0.0%0.0%0.0%0.0%

GrowthOperating income

Q3 FY24Q4 FY24Q1 FY25Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26
Operating income−$11.6M−$5.2M−$5.4M−$4.7M−$4.8M−$6.8M−$8.0M−$7.0M
YoY growth

Balance sheet, Jun 30, 2026Cash & short-term investments $3.8M · Total debt $17.1M · Total assets $40.2M · Shareholders' equity $35.0M

Revenue
$33.0K
Operating income
−$7.0M
Net income
−$5.4M
View details

No dividends on record.

Institutions20 holders · as of Mar 31, 20268.02%512.1K shares
Insiders13 holders · as of Apr 13, 202635.09%2.24M shares
Strategic holders1 holder · as of Apr 6, 202614.30%913.0K shares
Otherremainder42.59%2.72M shares

6.38M company shares as of Aug 22, 2026 · institutions as of Mar 31, 2026 · holders as of their latest filing

Two share counts disagree (8.00M in the company's Sep 3, 2026 report, 6.38M elsewhere); stakes use the report.

A stock split fell inside the quarter, so quarter-on-quarter changes are not shown.

Top shareholders13F · 13D/G · Form 4

HolderStakeSharesEvidence
Tasso Partners, LLCStrategic10 percent owner
14.30%912,996Form 4filed Apr 6, 2026
Ayrton Capital LLCInstitution
11.11%709,06913Gfiled May 11, 2026
Scopia Holdings LLCInstitution
9.87%630,11813Gfiled Apr 13, 2026
Nagelberg David S.Insider
8.57%546,96413Gfiled Apr 8, 2026
Two Seas Capital LPInstitution
7.23%461,53913Fas of Mar 31, 2026
See all 25

13F — a manager's quarterly holdings · 13D/13G — an ownership statement filed at 5% or more · Form 4 — an insider's transaction report

Insider tradesForm 4

No open-market trades in the last 12 months.

View details

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ComparePre-market

CompanyPriceChange
PAVmed$5.29−6.37%$34.1M304.9+450.0%
Health Catalyst$1.70−0.58%$124.9M0.4−12.7%
Guardant Health$163.05+0.02%$21.88B18.5+44.3%
Abbott$110.50+0.04%$191.19B35.519.04.1+13.0%
Teleflex$140.70−0.11%$6.24B15.32.4−27.0%
Median35.517.23.3+0.2%