Citius Pharmaceuticals, Inc.
-$31.69M- Market cap
- $16.13M
- Debt
- +-$6.11M
- Cash
- −$41.71M
Capital structure 161% equity / -61% debt · EV / EBITDA 0.96x
Compare price, profitability, solvency, and SEC-reported financials side by side—before deciding which assumptions deserve a closer look.
FY 2026 · Mkt cap
Decision snapshot: CTXR stock price at premium vs PVH $0.59 current versus $0.00 implied using P/S multiple.
Quick read
Each company valued on the other's multiple, then compared with the market price.
Implied fair value · at PVH's multiple
Implied fair value · at CTXR's multiple
Snapshot Sep 4, 4:00 PM ET
Metric by metric
Where each company leads, and how wide the gap is.
Growth lag
Pricing power
Operating leverage
Multiple discount
Not comparable
Lower leverage
Statements
Core statements aligned to each company's latest fiscal year.
SEC periods: CTXR FY 2022 (ended Sep 30, 2022) · PVH FY 2026 (ended Feb 1, 2026). Fiscal years are not aligned.
Trendline
Nine fiscal years of revenue, earnings, and margins before underwriting a re-rating.
Price framework
Market cap plus debt, less cash.
Capital structure 161% equity / -61% debt · EV / EBITDA 0.96x
Capital structure 60% equity / 40% debt · EV / Revenue 0.56x · EV / EBITDA 10.03x
PVH carries the larger enterprise value at $5.05B against -$31.69M; CTXR trades on the lower EV / EBITDA multiple (0.96x vs 10.03x).
Price framework
The same filing-backed model used on each company's valuation page, with company-specific inputs and calculated scenarios.
Citius Pharmaceuticals, Inc. · implied price per share
Five annual free-cash-flow observations are required for the filing-backed baseline.
PVH CORP. · implied price per share
Bear
$67.33
Base
$85.11
Bull
$108.27
Balance sheet health
Financial health checks to separate durable balance sheets from potential value traps.
Financial strength on a 0–9 scale.
Bankruptcy-risk signal from balance sheet and earnings power.
Debt / equity
Total debt against shareholders' equity
-0.06x
0.48x
Net debt / EBITDA
Leverage against operating earnings
1.45x
3.21x
Cash and equivalents
Liquid reserves on the balance sheet
$41.71M
$701.50M
Total debt
Interest-bearing obligations outstanding
Comparable set
Where the pair sits against the wider comparable set.
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