Home AGPYF vs EQIX AGPYF vs EQIX: Agile Group Holdings Limited vs Equinix Inc Side-by-side comparison of key financial metrics, valuation ratios, profitability, growth, and risk-adjusted returns. Both companies are in the Real Estate sector. Both are listed in United States.
Quick Summary Equinix Inc is 127.4× the market cap of Agile Group Holdings Limited. AGPYF trades at a lower P/E than EQIX. EQIX pays a dividend; AGPYF does not.
Price & Performance Metric AGPYF EQIX Current Price $0.04 $1,088.62 Daily Change 0.00% 1.65% 1-Year Return -75.00% 37.77% 52-Week High $0.16 $1,088.62 52-Week Low $0.04 $726.09 50-Day MA $0.04 $941.30 200-Day MA $0.10 $823.32 Beta 1.34 1.00
Size & Revenue Metric AGPYF EQIX Market Cap $797.28M $101.61B Enterprise Value $6.43B $119.65B Revenue (TTM) $35.78B $8.19B Shares Outstanding 5.05B 98.62M Float 2.14B 97.87M Employees 84,105 13,716
Valuation Metric AGPYF EQIX Trailing P/E 0.00 74.60 Forward P/E 1.48 62.50 PEG Ratio 0.80 4.65 Price / Sales 0.02 10.97 Price / Book 0.09 7.18 EV / EBITDA 0.70 29.53
Profitability Metric AGPYF EQIX Profit Margin -40.56% 14.58% Operating Margin (TTM) -11.72% 21.54% Return on Equity -37.45% 9.72% Return on Assets -0.80% 3.33% Diluted EPS (TTM) -0.45 10.26
Growth Metric AGPYF EQIX Revenue Growth (YoY) -35.80% 8.10% Earnings Growth (YoY) -54.60% 22.90%
Dividends Metric AGPYF EQIX Dividend Yield — 1.82% Dividend / Share — 18.76
Risk-Adjusted Returns & Quality Metric AGPYF EQIX Sortino (Composite) -1.06 19.56 Sharpe (Composite) -1.06 7.06 Calmar (Composite) -1.30 19.20 Hurst Exponent 0.5319 0.6398 Piotroski F-Score 6/9 5/9 Magic Formula Rank — #22,963
Ownership Metric AGPYF EQIX % Insiders 5734.80% 27.60% % Institutions 78.80% 9828.90%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.