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ALFVY vs BA: Alfa Laval AB ADR vs The Boeing Company

Side-by-side comparison of key financial metrics, valuation ratios, profitability, growth, and risk-adjusted returns. Both companies are in the Industrials sector. Both are listed in United States.

Alfa Laval AB ADR
ALFVYUnited States
$62.71
+2.97%
United States
$22.85B
The Boeing Company
BAUnited States
$223.38
+2.06%
United States
$171.02B

Quick Summary

The Boeing Company is 7.5× the market cap of Alfa Laval AB ADR. ALFVY trades at a lower P/E than BA. ALFVY pays a dividend; BA does not.

Price & Performance

MetricALFVYBA
Current Price$62.71$223.38
Daily Change2.97%2.06%
1-Year Return54.60%37.97%
52-Week High$62.71$252.15
52-Week Low$40.82$159.34
50-Day MA$56.15$220.98
200-Day MA$48.36$219.01
Beta0.861.13

Size & Revenue

MetricALFVYBA
Market Cap$22.85B$171.02B
Enterprise Value$24.65B$196.06B
Revenue (TTM)$68.84B$89.46B
Shares Outstanding413.33M785.84M
Float290.81M753.49M
Employees23,671182,000

Valuation

MetricALFVYBA
Trailing P/E25.6087.75
Forward P/E22.94153.85
PEG Ratio2.576.53
Price / Sales3.041.91
Price / Book4.8831.39
EV / EBITDA16.3526.64

Profitability

MetricALFVYBA
Profit Margin11.87%2.50%
Operating Margin (TTM)0.00%-3.18%
Return on Equity19.35%290.08%
Return on Assets7.86%-2.00%
Diluted EPS (TTM)2.162.48

Growth

MetricALFVYBA
Revenue Growth (YoY)4.60%57.10%
Earnings Growth (YoY)-3.40%-68.00%

Dividends

MetricALFVYBA
Dividend Yield1.59%
Dividend / Share0.00

Risk-Adjusted Returns & Quality

MetricALFVYBA
Sortino (Composite)7.053.88
Sharpe (Composite)4.721.90
Calmar (Composite)4.3813.59
Hurst Exponent0.62200.6877
Piotroski F-Score5/96/9
Magic Formula Rank#3,123

Ownership

MetricALFVYBA
% Insiders0.00%4.70%
% Institutions1.00%7380.80%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.