Impel NeuroPharma













Amen. Executive level is indeed lacking.
Agree that most of the blame falls at the top. Unreasonably high expectations of this very medocre product lead to an unneeded expansion. The excessive strain on budgets, etc., lead to where Impel is today. Short cash runway and a very bleak outlook. These hubris execs wanted to flip the company with boastful and bogus numbers, but don't worry, their contracts will have them protected with generous severance packages when this ship finally sinks.
 
























Why did our stock price close so high today? BIG JUMP LOL

Things are looking up.
I get the sarcasm here but what was really the play here at impel? Was everyone just trying to pump up the product and pipeline in hopes of being bought out and cashing in? If not, did anyone seriously think this was a game changing product for migraine patients?
 






I get the sarcasm here but what was really the play here at impel? Was everyone just trying to pump up the product and pipeline in hopes of being bought out and cashing in? If not, did anyone seriously think this was a game changing product for migraine patients?


How could you possibly not get the value here. A 30 year old generic mediocre product enhanced by the ability to go further up your nose. Cmon man. This concept is pure gold. In fact we will have an entire line up of new products that go deeper up the nos......oh never mind those are gone. I guess the company that went deep in the nose gave it to investors deep in the ass.
 






IT'S OVER! You HAVE BEEN TOLD.

Hmm, well let's look at the financials:

PROFITABILITY
Gross Margin -166.32%
Operating Margin -1,084.96%
Pretax Margin -11,457.19%
Net Margin -11,457.49%
Return on Equity -332.43%
Return on Total Capital -170.39%

Cash Flow Statement
Operating Cash Flow (ttm) -98.85M
Levered Free Cash Flow (ttm) -66.16M

Management Effectiveness
Return on Assets (ttm) -49.19%
Return on Equity (ttm) -403.06%

Yeah..This seems like the financial highlights of a very solvent, sustainable company...
 






Hmm, well let's look at the financials:

PROFITABILITY
Gross Margin -166.32%
Operating Margin -1,084.96%
Pretax Margin -11,457.19%
Net Margin -11,457.49%
Return on Equity -332.43%
Return on Total Capital -170.39%

Cash Flow Statement
Operating Cash Flow (ttm) -98.85M
Levered Free Cash Flow (ttm) -66.16M

Management Effectiveness
Return on Assets (ttm) -49.19%
Return on Equity (ttm) -403.06%

Yeah..This seems like the financial highlights of a very solvent, sustainable company...
Why is the CFO is leaving? Lol
 






Hmm, well let's look at the financials:

PROFITABILITY
Gross Margin -166.32%
Operating Margin -1,084.96%
Pretax Margin -11,457.19%
Net Margin -11,457.49%
Return on Equity -332.43%
Return on Total Capital -170.39%

Cash Flow Statement
Operating Cash Flow (ttm) -98.85M
Levered Free Cash Flow (ttm) -66.16M

Management Effectiveness
Return on Assets (ttm) -49.19%
Return on Equity (ttm) -403.06%

Yeah..This seems like the financial highlights of a very solvent, sustainable company...