--- title: "biote Corp. (BTMD.US)" type: "quote" locale: "en" url: "https://longbridge.com/en/quote/BTMD.US.md" symbol: "BTMD.US" name: "biote Corp." industry: "Pharmaceuticals" --- # biote Corp. (BTMD.US) | Item | Detail | |------|--------| | Industry | Pharmaceuticals | | Location | US Market | | Website | [www.biote.com](https://www.biote.com) | ## Company Profile biote Corp. operates in practice-building business within the hormone optimization space. It trains physicians and nurse practitioners in hormone optimization using bioidentical hormone replacement pellet therapy in men and women experiencing hormonal imbalance. The company offers Biote Method, a co... ## Financial Score > *Longbridge Financial Score™ — Proprietary multi-factor rating model by [Longbridge](https://longbridge.com). This score is independently calculated by Longbridge and is not affiliated with any third-party rating agency.* > Updated: 2026-02-26T04:30:14.000Z **Overall: C (0.49)** **Industry**: Pharmaceuticals | Metric | Value | |--------|-------| | Industry Ranking | 87 / 189 | | Industry Median | C | | Industry Average | C | - **Style**: Value - Stocks where the company's main business is in a mature stage. - **Scale**: Small - The company's operation has a high degree of growth and volatility, making it easy to achieve high investment returns. ### Score Analysis **Style Score**: #### Growth Score: | Indicator | Value | Rating | |-----------|-------|--------| | Revenue YoY | 1.34% | | | Net Profit YoY | 300.58% | | #### Value Score: | Indicator | Value | Rating | |-----------|-------|--------| | P/B Ratio | -1.33 | | | Dividend Ratio | 0.00% | | **Size Score**: #### Market Cap Score: | Indicator | Value | Rating | |-----------|-------|--------| | Market Cap | 96.80M | | #### Revenue Score: | Indicator | Value | Rating | |-----------|-------|--------| | Revenue | 195.65M | | **Multi Score**: C #### Profit Score: C | Indicator | Value | Rating | |-----------|-------|--------| | ROE | -28.36% | E | | Profit Margin | 14.72% | A | | Gross Margin | 71.77% | A | #### Growth Score: B | Indicator | Value | Rating | |-----------|-------|--------| | Revenue YoY | 1.34% | C | | Net Profit YoY | 300.58% | A | | Total Assets YoY | 9.95% | B | | Net Assets YoY | 48.38% | A | #### Cash Score: C | Indicator | Value | Rating | |-----------|-------|--------| | Cash Flow Margin | 679.46% | C | | OCF YoY | 1.34% | C | #### Operating Score: A | Indicator | Value | Rating | |-----------|-------|--------| | Turnover | 1.84 | A | #### Debt Score: E | Indicator | Value | Rating | |-----------|-------|--------| | Gearing Ratio | 158.81% | E | ```chart-data:radar { "title": "Longbridge Financial Score - biote Corp.", "chart_type": "radar", "dimensions": [ { "name": "Profit", "grade": "C", "indicators": [ { "name": "ROE", "value": "-28.36%", "rating": "E" }, { "name": "Profit Margin", "value": "14.72%", "rating": "A" }, { "name": "Gross Margin", "value": "71.77%", "rating": "A" } ] }, { "name": "Growth", "grade": "B", "indicators": [ { "name": "Revenue YoY", "value": "1.34%", "rating": "C" }, { "name": "Net Profit YoY", "value": "300.58%", "rating": "A" }, { "name": "Total Assets YoY", "value": "9.95%", "rating": "B" }, { "name": "Net Assets YoY", "value": "48.38%", "rating": "A" } ] }, { "name": "Cash", "grade": "C", "indicators": [ { "name": "Cash Flow Margin", "value": "679.46%", "rating": "C" }, { "name": "OCF YoY", "value": "1.34%", "rating": "C" } ] }, { "name": "Operating", "grade": "A", "indicators": [ { "name": "Turnover", "value": "1.84", "rating": "A" } ] }, { "name": "Security", "grade": "E", "indicators": [ { "name": "Gearing Ratio", "value": "158.81%", "rating": "E" } ] } ] } ``` ### Peer Comparison | Rank | Name | Profit | Growth | Operation | Security | Cash | Rating | |------|------|--------|--------|-----------|----------|------|--------| | 01 | Eli Lilly (US.LLY) | A | A | B | E | B | B | | 02 | ROCHE HOLDINGS AG (US.RHHVF) | A | B | B | D | C | B | | 03 | Roche (US.RHHBY) | A | B | B | D | C | B | | 04 | AstraZeneca (US.AZN) | A | B | C | D | C | B | | 05 | NOVARTIS AG (US.NVS) | A | B | C | D | C | B | ## Valuation Analysis | Metric | Current | Industry Ranking | High | Median | Low | |--------|---------|-----------------|------|--------|-----| | PE (TTM) | 3.41 | 3/257 | 10.18 | 4.86 | 3.25 | | PB | -1.35 | 204/257 | - | - | - | | PS (TTM) | 0.50 | 17/257 | 0.90 | 0.64 | 0.48 | | Dividend Yield | 0.00% | - | - | - | - | ## Institutional View ### Analyst Rating Distribution > As of 2026-01-27T05:00:00.000Z Total Analysts: **5** | Rating | Count | Percentage | |--------|-------|-----------| | Buy | 4 | 80% | | Overweight | 0 | 0% | | Hold | 1 | 20% | | Underweight | 0 | 0% | | Sell | 0 | 0% | ### Target Price Forecast | Metric | Price | |--------|-------| | Current Price | 2.15 | | Highest Target | 5.56 | | Lowest Target | 3.00 | ## References - [Company Overview](https://longbridge.com/en/quote/BTMD.US/overview.md) - Shareholders, executives, business segments - [Financials](https://longbridge.com/en/quote/BTMD.US/norm.md) - Income statement, balance sheet, cash flow, distribution plan - [Topics & Discussions](https://longbridge.com/en/quote/BTMD.US/topics.md) - Community topics and discussions --- > **Disclaimer**: This article is for reference only and does not constitute any investment advice.