OraSure Technologies Inc

OSUR.US
Healthcare · Medical Instruments & Supplies
4.02
+0.06 (+1.52%)
USD · NASDAQ

Company Information

Company Name
OraSure Technologies Inc
Sector
Healthcare
Industry
Medical Instruments & Supplies
Exchange
NASDAQ
ISIN: US68554V1089
CIK: 0001116463
CUSIP: 68554V108
Currency: USD
Full Time Employees: 500
Phone: 610 882 1820
Fiscal Year End: December
IPO Date: Nov 12, 1986
Description:

OraSure Technologies, Inc., together with its subsidiaries, develops, manufactures, markets, sells, and distributes diagnostic products and specimen collection devices in the United States, Europe, Africa, and internationally. It offers OraQuick Rapid HIV test, OraQuick HIV self-test, OraQuick HIV self-test(international), OraQuick HCV rapid antibody test and self-test, Syphilis health check rapid diagnostic test, OraQuick Ebola rapid antigen test, InteliSwab COVID-19 rapid test, InteliSwab COVID-19 rapid test pro, InteliSwab COVID-19 rapid test rx, SickleSCAN test, and OraSure oral fluid collection device for HIV-1 antibodies; Intercept drug testing systems; immunoassay tests and reagents; and Q.E.D. saliva alcohol test. The company also provides genomic products under the Oragene and ORAcollect brands for collecting genetic material from human saliva; Colli-Pee collection devices for the volumetric collection of urine samples; and HEMAcollect protein blood collection device. In addition, it provides microbiome products, such as OMNIgene GUT for self-collecting microbial DNA from feces or stool samples for gut microbiome profiling; OMNIgene GUT DNA and RNA collection devices; OMNIgene SALIVA DNA and RNA collection devices; and OMNIgene GUT Dx collection device for collection of human fecal samples and the stabilization of DNA from the bacterial community. Further, it offers other diagnostic products, such as immunoassays and other in vitro diagnostic tests. Additionally, it develops a molecular self-test for chlamydia trachomatis and neisseria gonorrhoeae. It sells its products to clinical laboratories, hospitals, clinics, community-based organizations and other public health organizations, distributors, government agencies, physicians' offices, commercial and industrial entities, disease risk management, diagnostics, pharmaceutical, biotech, and companion animal, markets. The company was founded in 1987 and is headquartered in Bethlehem, Pennsylvania.

Address:

220 East First Street, Bethlehem, PA, United States, 18015

People

Directors & Officers

Name Title Year Born
Ms. Carrie Eglinton Manner President, CEO & Director 1975
Mr. Kenneth J. McGrath Chief Financial Officer 1972
Ms. Michele Anthony Senior VP, Chief Accounting Officer, Controller & Assistant Secretary 1974
Ms. Karen Davies Diagnostics R&D & Chief Technologist NA
Mr. Rafal Iwasiow Ph.D. Sample Management Solutions R&D & Chief Scientist NA
Mr. Jason Michael Plagman Vice President of Investor Relations NA
Mr. Stefano Taucer General Counsel & Corporate Secretary NA
Mr. David A. Rappaport C.F.A. Senior Vice President of Corporate Development, Strategy & Integration NA
Ms. Amy Steigerwalt Senior Vice President of Human Resources NA
Mr. Zachary Wert Senior Vice President of Global Operations NA

Insider Trading

Date Insider Name Title Transaction Type Shares Price Value
Mar 20, 2026 Kenneth J Mcgrath N/A Purchase 32.30K $2.93 $94.64K
Mar 20, 2026 Manner Carrie Eglinton N/A Purchase 32.30K $2.93 $94.64K
Mar 13, 2026 Kenneth J Mcgrath N/A Purchase 22.02K $3.00 $66.06K
Mar 13, 2026 Manner Carrie Eglinton N/A Purchase 22.02K $3.00 $66.07K

Shareholders

Institutional Holders

Holder Name Shares Date Reported % Out Value % Change
BlackRock Inc 6.52M Mar 31, 2026 9.46% $0.00 1.07%
Private Management Group Inc 5.42M Mar 31, 2026 7.88% $0.47 0.48%
Neuberger Berman Group LLC 4.36M Mar 31, 2026 6.34% $0.01 9.46%
Vanguard Group Inc 4.10M Dec 31, 2025 5.96% $0.00 -0.76%
Altai Capital Management, L.P. 3.61M Mar 31, 2026 5.25% $30.95 -3.40%
Vanguard Capital Management, LLC 3.03M Mar 31, 2026 4.40% $0.00 0.00%
Dimensional Fund Advisors, Inc. 2.82M Mar 31, 2026 4.10% $0.00 -13.43%
Systematic Financial Management LP 2.48M Mar 31, 2026 3.60% $0.17 0.12%
Renaissance Technologies Corp 2.08M Mar 31, 2026 3.03% $0.01 -2.88%
Acadian Asset Management LLC 2.02M Mar 31, 2026 2.94% $0.01 4,534.06%
Cannell Capital LLC 2.00M Mar 31, 2026 2.91% $3.69 2.52%
Geode Capital Management, LLC 1.82M Mar 31, 2026 2.64% $0.00 3.92%
Gagnon Securities LLC 1.71M Mar 31, 2026 2.49% $1.19 9.21%
State Street Corp 1.70M Mar 31, 2026 2.48% $0.00 6.23%
D. E. Shaw & Co LP 1.38M Mar 31, 2026 2.01% $0.00 -17.00%
Gagnon Advisors, LLC 1.21M Mar 31, 2026 1.75% $2.66 0.00%
Peapod Lane Capital LLC 1.02M Mar 31, 2026 1.48% $2.49 0.00%
Jacobs Levy Equity Management, Inc. 999.59K Mar 31, 2026 1.45% $0.01 1.10%
Wells Fargo & Co 899.84K Mar 31, 2026 1.31% $0.00 2.60%
Archon Capital Management LLC 747.91K Mar 31, 2026 1.09% $1.27 30.41%

Fund Holdings

Rank Holder Name Shares Held % of Shares Change Date Reported
1 Vanguard Total Stock Mkt Idx Inv 2.15M 3.12% ▲ 0.00% Jun 30, 2026
2 iShares Russell 2000 ETF 1.76M 2.56% ▲ 0.60% Jun 30, 2026
3 Neuberger Intrinsic Value I 1.10M 1.60% ▲ 0.00% Jun 30, 2026
4 First Eagle Small Cap Opportunity I 902.79K 1.31% ▲ 134.06% Jun 30, 2026
5 Vanguard Institutional Extnd Mkt Idx Tr 804.24K 1.17% ▲ 0.00% Jun 30, 2026
6 Fidelity Small Cap Index 682.96K 0.99% ▲ 0.36% Apr 30, 2026
7 iShares Russell 2000 Value ETF 597.03K 0.87% ▼ 0.69% Jun 30, 2026
8 DFA US Small Cap Value I 589.21K 0.86% ▼ 14.56% May 31, 2026
9 State St Russell Sm/Mid Cp® Indx SL Cl I 527.60K 0.77% ▲ 0.00% Jun 30, 2026
10 BSF Systematic US Eq Abs Ret A2 USD 466.10K 0.68% ▲ 32.72% Dec 31, 2025

Financial Highlights

Market Cap: $272.64M
EBITDA: $-61.54M
PEG Ratio: $6.19
Book Value: $4.52
Earnings/Share: $-1.04
Profit Margin: -66.42%
Operating Margin: -78.45%
ROA (TTM): -10.65%
ROE (TTM): -21.16%
Revenue (TTM): $113.02M
Revenue/Share (TTM): $1.57
Earnings Growth (YOY): 29.60%
Revenue Growth (YOY): -6.70%

Valuation Metrics

Enterprise Value: $109.71M
Trailing P/E: 0.00
Forward P/E: 40.00

Shares Statistics

Shares Outstanding: 68.85M
Shares Float: 60.74M
% Insiders: 638.20%
% Institutions: 8,907.50%
Short % Float: 4.99%

Stock Price History

1 Year Price History

2 Years Price History

5 Years Price History

10 Years Price History

Financial Charts

Revenue & Net Income (Yearly)

Revenue & Net Income (Quarterly)

Operating Expenses (Yearly)

Operating Expenses (Quarterly)

Balance Sheet (Quarterly)

Assets Breakdown (Yearly)

Assets Breakdown (Quarterly)

Liabilities Breakdown (Yearly)

Liabilities Breakdown (Quarterly)

Income Statement Waterfall

Open full waterfall
Line Item
Step Type
Value
Revenue
adjust
$115.02M
Cost of Goods Sold
adjust
$-66.82M
Gross Profit
subtotal
$48.20M
SG&A
adjust
$-47.68M
R&D
adjust
$-42.53M
Other Operating Expense
adjust
$-26.12M
Operating Income
subtotal
$-68.12M
Other / Non-Operating Items
adjust
$-607.00K
Net Income
subtotal
$-68.73M

Earnings Per Share (EPS) History

Financial Ratios

📦 Raw API Data (JSON Explorer)

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