Risk Comparison · Cached SEC Snapshots
AAPL vs SAVA — Structural Risk Comparison
AAPL
Apple Inc.
AA
MODERATE / CAUTION
Score: 75%
VS
SAVA
FILANA THERAPEUTICS, INC.
BB
MODERATE / CAUTION
Score: 27%
STRUCTURAL RISK ANALYSIS · DETERMINISTIC
SAVA SHOWS HIGHER STRUCTURAL RISK
SAVA has 882.0 fewer months of cash runway (117.0 mo vs 999.0 mo).
METRIC
AAPL
SAVA
SPREAD
Doomsday Clock
999.0 mo▲
117.0 mo▼
882.0 mo
Dilution Risk
-2.3 / 100▲
0.0 / 100▼
2.3 pts
Altman Z-Score
1.13▲
-2.87▼
4.00
Operating Cash Flow
$53.92B▲
-$8.9M▼
—
Net Income
$42.10B▲
-$10.3M▼
—
Current Ratio
0.97x▼
2.19x▲
—
Retained Earnings
-$2.18B▼
-$506.4M▲
—
Educational analysis only. Not financial advice. Comparison uses cached SEC EDGAR data and may contain inaccuracies. AI systems are fallible. Always verify against primary filings on
SEC EDGAR
and consult a licensed advisor before making investment decisions.