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TLSA
Tiziana Life Sciences Ltd
1.23
1 x 1.17
1 x 1.30
bid
ask
-
0.05
3.91%
1 @ 04:00 PM
1.24 +0.01 (0.85%)
Ytd-17.45%
1y-20.65%
1.17
day range
1.29
1.04
52 week range
2.60
Open1.26Prev Close1.28Low1.17High1.29Mkt Cap156.53M
Vol144.47KAvg Vol206.70KEPS-0.16P/EN/AForward P/E-13.63
Beta0.18Short Ratio0.57Inst. Own1.76%DividendN/ADiv YieldN/A
Ex Div DateN/AEarning07-0850-d Avg1.31200-d Avg1.531yr Est3.00
Earning
DateForEstimateReportedSurprisesurprise %
2024-08-092024-030N/AN/AN/A
2024-04-242023-120N/AN/AN/A
2023-07-262023-030N/AN/AN/A
2023-05-192022-120N/AN/AN/A
2022-08-192022-030N/AN/AN/A
2020-04-022019-120N/AN/AN/A
Upgrade / Downgrade
DateFirmActionFromTo
2022-06-13ThinkEquityUpgradeBuy
Profile
Tiziana Life Sciences Ltd, a biotechnology company, focuses on the discovery and development of molecules to treat human diseases in oncology and immunology in the United States. The company's lead product candidate in immunology is Foralumab (TZLS-401), a human anti-CD3 monoclonal antibody (mAb) for the treatment of Crohn's, graft versus host, ulcerative colitis, multiple sclerosis, type-1 diabetes, inflammatory bowel, psoriasis, and rheumatoid arthritis diseases. It also develops Milciclib (TZLS-201), an orally bioavailable small molecule broad spectrum inhibitor of various cyclin-dependent kinases and Src family; and TZLS-501, a fully human mAb targeting the IL-6 receptor for the treatment of inflammatory and oncology indications. Tiziana Life Sciences Ltd was incorporated in 1998 and is headquartered in London, the United Kingdom.
Institution Ownership
Report DateOrganizationPositionValuePercentage
2024-09-29Sanctuary Advisors, LLC 907.61K618.54K0.86%
2024-09-29Geode Capital Management, LLC218.68K149.03K0.21%
2024-09-29HSBC Holdings PLC115.37K78.62K0.11%
2024-09-29Morgan Stanley109.75K74.79K0.10%
2024-09-29Citadel Advisors Llc104.29K71.07K0.10%
2024-09-29Kovitz Investment Group Partners, Llc79.36K54.09K0.08%
Fund Ownership
Report DateOrganizationPositionValuePercentage
2024-10-30Fidelity NASDAQ Composite Index ETF162.80K110.95K0.15%
2024-10-30Fidelity NASDAQ Composite Index Fund55.88K38.08K0.05%
Split
SplitDate
1 : 22021-10-21
5 : 22020-07-31
2 : 12019-10-29