Home ATCO-A vs LAGR-B ATCO-A vs LAGR-B: Atlas Copco AB Series A vs Lagercrantz Group AB (publ) 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 Sweden.
Quick Summary Atlas Copco AB Series A is 19.3× the market cap of Lagercrantz Group AB (publ). ATCO-A trades at a lower P/E than LAGR-B. ATCO-A offers the higher dividend yield.
Price & Performance Metric ATCO-A LAGR-B Current Price SEK 190.45 SEK 248.20 Daily Change 3.84% 5.62% 1-Year Return 27.52% 22.39% 52-Week High SEK 196.25 SEK 248.20 52-Week Low SEK 144.00 SEK 192.20 50-Day MA SEK 178.94 SEK 206.69 200-Day MA SEK 166.25 SEK 214.95 Beta 1.05 1.16
Size & Revenue Metric ATCO-A LAGR-B Market Cap $889.14B $46.18B Enterprise Value $861.06B $49.49B Revenue (TTM) $168.34B $10.29B Shares Outstanding 3.32B 196.38M Float 3.94B 190.93M Employees 56,356 3,613
Valuation Metric ATCO-A LAGR-B Trailing P/E 33.71 40.58 Forward P/E 28.17 33.78 PEG Ratio 3.08 — Price / Sales 5.28 4.49 Price / Book 7.94 10.99 EV / EBITDA 19.53 29.90
Profitability Metric ATCO-A LAGR-B Profit Margin 15.69% 11.11% Operating Margin (TTM) 22.35% 15.98% Return on Equity 23.58% 29.38% Return on Assets 10.71% 8.61% Diluted EPS (TTM) 5.41 5.52
Growth Metric ATCO-A LAGR-B Revenue Growth (YoY) -7.00% 15.90% Earnings Growth (YoY) -15.00% 17.30%
Dividends Metric ATCO-A LAGR-B Dividend Yield 1.67% 1.01% Dividend / Share 3.00 2.20
Risk-Adjusted Returns & Quality Metric ATCO-A LAGR-B Sortino (Composite) 1.30 3.13 Sharpe (Composite) 9.08 8.25 Calmar (Composite) 1.30 4.52 Hurst Exponent 0.6630 0.5663 Piotroski F-Score 6/9 6/9 Magic Formula Rank #10,697 #13,603
Ownership Metric ATCO-A LAGR-B % Insiders 0.20% 465.40% % Institutions 6675.20% 6889.40%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.