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KOG vs LOM: Kongsberg Gruppen ASA vs Lockheed Martin Corporation

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

Kongsberg Gruppen ASA
KOGOslo Stock Exchange
NOK 372.50
-0.96%
Norway
$359.83B
Lockheed Martin Corporation
LOMXETRA (Frankfurt)
€508.40
-1.01%
Germany
$122.01B

Quick Summary

Kongsberg Gruppen ASA is 2.9× the market cap of Lockheed Martin Corporation. LOM trades at a lower P/E than KOG. LOM offers the higher dividend yield.

Price & Performance

MetricKOGLOM
Current PriceNOK 372.50€508.40
Daily Change-0.96%-1.01%
1-Year Return-76.83%24.71%
52-Week HighNOK 1,813.50€580.40
52-Week LowNOK 229.15€357.55
50-Day MANOK 390.50€547.16
200-Day MANOK 316.72€445.34
Beta0.380.24

Size & Revenue

MetricKOGLOM
Market Cap$359.83B$122.01B
Enterprise Value$345.00B$136.02B
Revenue (TTM)$31.56B$75.05B
Shares Outstanding879.56M230.46M
Float411.17M196.10M
Employees7,586123,000

Valuation

MetricKOGLOM
Trailing P/E85.9528.74
Forward P/E40.9820.58
PEG Ratio2.821.32
Price / Sales11.401.63
Price / Book15.8421.20
EV / EBITDA43.8818.22

Profitability

MetricKOGLOM
Profit Margin25.20%6.69%
Operating Margin (TTM)17.16%9.01%
Return on Equity19.50%76.87%
Return on Assets3.86%7.57%
Diluted EPS (TTM)4.7618.40

Growth

MetricKOGLOM
Revenue Growth (YoY)-31.00%9.10%
Earnings Growth (YoY)62.00%161.00%

Dividends

MetricKOGLOM
Dividend Yield0.54%2.47%
Dividend / Share2.2013.35

Risk-Adjusted Returns & Quality

MetricKOGLOM
Sortino (Composite)0.790.51
Sharpe (Composite)0.37-0.33
Calmar (Composite)0.58-1.02
Hurst Exponent0.55560.6134
Piotroski F-Score7/95/9
Magic Formula Rank#15,080#9,034

Ownership

MetricKOGLOM
% Insiders5394.00%9.10%
% Institutions2777.40%7497.10%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.