Home 034020 vs ALFVY 034020 vs ALFVY: Doosan Heavy Ind. & Const. vs Alfa Laval AB ADR Side-by-side comparison of key financial metrics, valuation ratios, profitability, growth, and risk-adjusted returns. Both companies are in the Industrials sector.
Quick Summary Doosan Heavy Ind. & Const. is 3102.4× the market cap of Alfa Laval AB ADR. 034020 trades at a lower P/E than ALFVY. ALFVY pays a dividend; 034020 does not.
Price & Performance Metric 034020 ALFVY Current Price ₩108,500.00 $62.71 Daily Change -2.08% 2.97% 1-Year Return 318.11% 54.60% 52-Week High ₩110,800.00 $62.71 52-Week Low ₩25,650.00 $40.82 50-Day MA ₩98,942.00 $56.15 200-Day MA ₩79,833.50 $48.36 Beta 1.83 0.86
Size & Revenue Metric 034020 ALFVY Market Cap $70.90T $22.85B Enterprise Value $69.78T $24.65B Revenue (TTM) $17.06T $68.84B Shares Outstanding 640.47M 413.33M Float 442.57M 290.81M Employees 4,527 23,671
Valuation Metric 034020 ALFVY Trailing P/E 0.00 25.60 Forward P/E 9.56 22.94 PEG Ratio 0.00 2.57 Price / Sales 4.16 3.04 Price / Book 8.57 4.88 EV / EBITDA 57.67 16.35
Profitability Metric 034020 ALFVY Profit Margin 0.50% 11.87% Operating Margin (TTM) 3.37% 0.00% Return on Equity 1.73% 19.35% Return on Assets 1.64% 7.86% Diluted EPS (TTM) 0.00 2.16
Growth Metric 034020 ALFVY Revenue Growth (YoY) 5.90% 4.60% Earnings Growth (YoY) -4.10% -3.40%
Dividends Metric 034020 ALFVY Dividend Yield — 1.59% Dividend / Share — 0.00
Risk-Adjusted Returns & Quality Metric 034020 ALFVY Sortino (Composite) 3.60 7.05 Sharpe (Composite) 2.21 4.72 Calmar (Composite) 6.02 4.38 Hurst Exponent 0.6247 0.6220 Piotroski F-Score 7/9 5/9 Magic Formula Rank #22,341 #3,123
Ownership Metric 034020 ALFVY % Insiders 3093.30% 0.00% % Institutions 2243.40% 1.00%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.