Price
$377.00
Increased by +27.13%
Dollar volume (20D)
50.29 M
ADR%
2.58
Earnings report date
Feb 12, 2024
Shares float
24.23 M
Shares short
1.05 M [4.34%]
Shares outstanding
30.68 M
Market cap
8.86 B
Beta
1.33
Price/earnings
33.95
20D range
277.72 378.79
50D range
268.80 378.79
200D range
185.43 378.79

Medpace Holdings, Inc. provides clinical research-based drug and medical device development services in North America, Europe, and Asia.

It offers a suite of services supporting the clinical development process from Phase I to Phase IV in various therapeutic areas.

The company also provides clinical development services to the pharmaceutical, biotechnology, and medical device industries; and development plan design, coordinated central laboratory, project management, regulatory affairs, clinical monitoring, data management and analysis, pharmacovigilance new drug application submissions, and post-marketing clinical support services.

In addition, it offers bio-analytical laboratory services, clinical human pharmacology, imaging services, and electrocardiography reading support for clinical trials.

Medpace Holdings, Inc. was founded in 1992 and is based in Cincinnati, Ohio.

Reported date EPSChange YoY EstimateSurprise
Jul 22, 24 2.75
Increased by +42.49%
2.54
Increased by +8.27%
Apr 22, 24 3.20
Increased by +40.97%
2.47
Increased by +29.55%
Feb 12, 24 2.46
Increased by +16.04%
2.22
Increased by +10.81%
Oct 23, 23 2.22
Increased by +8.29%
2.05
Increased by +8.29%
Jul 24, 23 1.93
Increased by +32.19%
1.91
Increased by +1.05%
Apr 24, 23 2.27
Increased by +34.32%
1.80
Increased by +26.11%
Feb 13, 23 2.12
Increased by +60.61%
1.79
Increased by +18.44%
Oct 24, 22 2.05
Increased by +58.91%
1.47
Increased by +39.46%
Fiscal ending date RevenueChange YoY IncomeChange YoY ProfitChange YoY
Sep 30, 23 492.50 M
Increased by +28.34%
70.55 M
Increased by +6.85%
Increased by +14.32%
Decreased by -16.74%
Jun 30, 23 460.87 M
Increased by +31.22%
61.07 M
Increased by +23.72%
Increased by +13.25%
Decreased by -5.72%
Mar 31, 23 434.07 M
Increased by +31.16%
72.89 M
Increased by +18.89%
Increased by +16.79%
Decreased by -9.35%
Dec 31, 22 394.10 M
Increased by +27.72%
68.67 M
Increased by +37.25%
Increased by +17.42%
Increased by +7.45%
Sep 30, 22 383.74 M
Increased by +29.83%
66.03 M
Increased by +35.93%
Increased by +17.21%
Increased by +4.70%
Jun 30, 22 351.21 M
Increased by +26.20%
49.36 M
Increased by +23.60%
Increased by +14.05%
Decreased by -2.06%
Mar 31, 22 330.95 M
Increased by +27.30%
61.31 M
Increased by +41.58%
Increased by +18.53%
Increased by +11.21%
Dec 31, 21 308.55 M
Increased by +18.82%
50.03 M
Decreased by -1.64%
Increased by +16.22%
Decreased by -17.22%
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