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KRM22 (KRM) Competitors

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GBX 30 -1.50 (-4.76%)
As of 05/15/2026 12:06 PM Eastern

KRM vs. MIG4, MIG5, EJFI, MVI, and MATE

Should you buy KRM22 stock or one of its competitors? MarketBeat compares KRM22 with other companies and stocks that may be similar based on industry, sector, market capitalization, business model, investor interest, or shared news coverage. Companies and stocks commonly compared with KRM22 include Mobeus Income & Growth 4 VCT (MIG4), Maven Income and Growth VCT 5 (MIG5), EJF Investments (EJFI), Marwyn Value Investors (MVI), and JPMorgan Multi-Asset Growth & Income (MATE). These companies are all part of the "asset management" industry.

How does KRM22 compare to Mobeus Income & Growth 4 VCT?

Mobeus Income & Growth 4 VCT (LON:MIG4) and KRM22 (LON:KRM) are both small-cap financial services companies, but which is the better stock? We will contrast the two companies based on the strength of their dividends, institutional ownership, valuation, analyst recommendations, media sentiment, risk, earnings and profitability.

In the previous week, KRM22 had 1 more articles in the media than Mobeus Income & Growth 4 VCT. MarketBeat recorded 1 mentions for KRM22 and 0 mentions for Mobeus Income & Growth 4 VCT. KRM22's average media sentiment score of 1.36 beat Mobeus Income & Growth 4 VCT's score of 0.00 indicating that KRM22 is being referred to more favorably in the news media.

Company Overall Sentiment
Mobeus Income & Growth 4 VCT Neutral
KRM22 Positive

Mobeus Income & Growth 4 VCT has a beta of 0.12, meaning that its stock price is 88% less volatile than the broader market. Comparatively, KRM22 has a beta of -0.15, meaning that its stock price is 115% less volatile than the broader market.

KRM22 has higher revenue and earnings than Mobeus Income & Growth 4 VCT. KRM22 is trading at a lower price-to-earnings ratio than Mobeus Income & Growth 4 VCT, indicating that it is currently the more affordable of the two stocks.

CompanyGross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Mobeus Income & Growth 4 VCT-£12.69M0.00-£3.12M-£0.03N/A
KRM22£7.12M2.50-£2.54M-£4.60N/A

Mobeus Income & Growth 4 VCT has a net margin of 0.00% compared to KRM22's net margin of -27.23%. Mobeus Income & Growth 4 VCT's return on equity of -3.66% beat KRM22's return on equity.

Company Net Margins Return on Equity Return on Assets
Mobeus Income & Growth 4 VCTN/A -3.66% -2.28%
KRM22 -27.23%-140.94%-24.65%

4.8% of KRM22 shares are owned by institutional investors. 0.2% of Mobeus Income & Growth 4 VCT shares are owned by company insiders. Comparatively, 7.3% of KRM22 shares are owned by company insiders. Strong institutional ownership is an indication that hedge funds, endowments and large money managers believe a company will outperform the market over the long term.

Summary

KRM22 beats Mobeus Income & Growth 4 VCT on 7 of the 12 factors compared between the two stocks.

How does KRM22 compare to Maven Income and Growth VCT 5?

Maven Income and Growth VCT 5 (LON:MIG5) and KRM22 (LON:KRM) are both small-cap financial services companies, but which is the better investment? We will compare the two companies based on the strength of their institutional ownership, valuation, dividends, analyst recommendations, risk, media sentiment, profitability and earnings.

4.8% of KRM22 shares are owned by institutional investors. 0.6% of Maven Income and Growth VCT 5 shares are owned by insiders. Comparatively, 7.3% of KRM22 shares are owned by insiders. Strong institutional ownership is an indication that large money managers, hedge funds and endowments believe a company will outperform the market over the long term.

Maven Income and Growth VCT 5 has a beta of 0.13, meaning that its stock price is 87% less volatile than the broader market. Comparatively, KRM22 has a beta of -0.15, meaning that its stock price is 115% less volatile than the broader market.

In the previous week, Maven Income and Growth VCT 5 and Maven Income and Growth VCT 5 both had 1 articles in the media. Maven Income and Growth VCT 5's average media sentiment score of 1.58 beat KRM22's score of 1.36 indicating that Maven Income and Growth VCT 5 is being referred to more favorably in the media.

Company Overall Sentiment
Maven Income and Growth VCT 5 Very Positive
KRM22 Positive

Maven Income and Growth VCT 5 has higher earnings, but lower revenue than KRM22. KRM22 is trading at a lower price-to-earnings ratio than Maven Income and Growth VCT 5, indicating that it is currently the more affordable of the two stocks.

CompanyGross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Maven Income and Growth VCT 5£2.34M32.93-£354.47K£0.8334.70
KRM22£7.12M2.50-£2.54M-£4.60N/A

Maven Income and Growth VCT 5 has a net margin of 52.62% compared to KRM22's net margin of -27.23%. Maven Income and Growth VCT 5's return on equity of 2.61% beat KRM22's return on equity.

Company Net Margins Return on Equity Return on Assets
Maven Income and Growth VCT 552.62% 2.61% -3.05%
KRM22 -27.23%-140.94%-24.65%

Summary

Maven Income and Growth VCT 5 beats KRM22 on 9 of the 12 factors compared between the two stocks.

How does KRM22 compare to EJF Investments?

KRM22 (LON:KRM) and EJF Investments (LON:EJFI) are both small-cap financial services companies, but which is the superior investment? We will compare the two businesses based on the strength of their institutional ownership, risk, analyst recommendations, media sentiment, dividends, profitability, valuation and earnings.

4.8% of KRM22 shares are owned by institutional investors. Comparatively, 15.2% of EJF Investments shares are owned by institutional investors. 7.3% of KRM22 shares are owned by company insiders. Comparatively, 3.5% of EJF Investments shares are owned by company insiders. Strong institutional ownership is an indication that endowments, hedge funds and large money managers believe a company will outperform the market over the long term.

KRM22 has a beta of -0.15, indicating that its stock price is 115% less volatile than the broader market. Comparatively, EJF Investments has a beta of 0.072, indicating that its stock price is 93% less volatile than the broader market.

In the previous week, KRM22 had 1 more articles in the media than EJF Investments. MarketBeat recorded 1 mentions for KRM22 and 0 mentions for EJF Investments. KRM22's average media sentiment score of 1.36 beat EJF Investments' score of 0.00 indicating that KRM22 is being referred to more favorably in the media.

Company Overall Sentiment
KRM22 Positive
EJF Investments Neutral

EJF Investments has higher revenue and earnings than KRM22. KRM22 is trading at a lower price-to-earnings ratio than EJF Investments, indicating that it is currently the more affordable of the two stocks.

CompanyGross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
KRM22£7.12M2.50-£2.54M-£4.60N/A
EJF Investments£7.69M9.81£5.37M£7.8016.65

EJF Investments has a net margin of 59.90% compared to KRM22's net margin of -27.23%. EJF Investments' return on equity of 4.87% beat KRM22's return on equity.

Company Net Margins Return on Equity Return on Assets
KRM22-27.23% -140.94% -24.65%
EJF Investments 59.90%4.87%-3.05%

Summary

EJF Investments beats KRM22 on 10 of the 13 factors compared between the two stocks.

How does KRM22 compare to Marwyn Value Investors?

KRM22 (LON:KRM) and Marwyn Value Investors (LON:MVI) are both small-cap asset management industry companies, but which is the superior investment? We will compare the two businesses based on the strength of their institutional ownership, risk, analyst recommendations, media sentiment, dividends, profitability, valuation and earnings.

Marwyn Value Investors has a net margin of 99.99% compared to KRM22's net margin of -27.23%. Marwyn Value Investors' return on equity of 31.87% beat KRM22's return on equity.

Company Net Margins Return on Equity Return on Assets
KRM22-27.23% -140.94% -24.65%
Marwyn Value Investors 99.99%31.87%2.98%

KRM22 has a beta of -0.15, indicating that its stock price is 115% less volatile than the broader market. Comparatively, Marwyn Value Investors has a beta of 0.39560032, indicating that its stock price is 60% less volatile than the broader market.

4.8% of KRM22 shares are owned by institutional investors. Comparatively, 6.7% of Marwyn Value Investors shares are owned by institutional investors. 7.3% of KRM22 shares are owned by company insiders. Comparatively, 1.4% of Marwyn Value Investors shares are owned by company insiders. Strong institutional ownership is an indication that endowments, hedge funds and large money managers believe a company will outperform the market over the long term.

In the previous week, KRM22 had 1 more articles in the media than Marwyn Value Investors. MarketBeat recorded 1 mentions for KRM22 and 0 mentions for Marwyn Value Investors. KRM22's average media sentiment score of 1.36 beat Marwyn Value Investors' score of 0.00 indicating that KRM22 is being referred to more favorably in the media.

Company Overall Sentiment
KRM22 Positive
Marwyn Value Investors Neutral

Marwyn Value Investors has higher revenue and earnings than KRM22. KRM22 is trading at a lower price-to-earnings ratio than Marwyn Value Investors, indicating that it is currently the more affordable of the two stocks.

CompanyGross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
KRM22£7.12M2.50-£2.54M-£4.60N/A
Marwyn Value Investors£38.55M1.99£7.92M£69.391.96

Summary

Marwyn Value Investors beats KRM22 on 9 of the 13 factors compared between the two stocks.

How does KRM22 compare to JPMorgan Multi-Asset Growth & Income?

KRM22 (LON:KRM) and JPMorgan Multi-Asset Growth & Income (LON:MATE) are both small-cap financial services companies, but which is the better business? We will contrast the two businesses based on the strength of their institutional ownership, valuation, analyst recommendations, profitability, media sentiment, dividends, earnings and risk.

JPMorgan Multi-Asset Growth & Income has lower revenue, but higher earnings than KRM22. KRM22 is trading at a lower price-to-earnings ratio than JPMorgan Multi-Asset Growth & Income, indicating that it is currently the more affordable of the two stocks.

CompanyGross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
KRM22£7.12M2.50-£2.54M-£4.60N/A
JPMorgan Multi-Asset Growth & IncomeN/AN/AN/A-£0.06N/A

JPMorgan Multi-Asset Growth & Income has a net margin of 0.00% compared to KRM22's net margin of -27.23%. JPMorgan Multi-Asset Growth & Income's return on equity of 0.00% beat KRM22's return on equity.

Company Net Margins Return on Equity Return on Assets
KRM22-27.23% -140.94% -24.65%
JPMorgan Multi-Asset Growth & Income N/A N/A N/A

In the previous week, KRM22 had 1 more articles in the media than JPMorgan Multi-Asset Growth & Income. MarketBeat recorded 1 mentions for KRM22 and 0 mentions for JPMorgan Multi-Asset Growth & Income. KRM22's average media sentiment score of 1.36 beat JPMorgan Multi-Asset Growth & Income's score of 0.00 indicating that KRM22 is being referred to more favorably in the media.

Company Overall Sentiment
KRM22 Positive
JPMorgan Multi-Asset Growth & Income Neutral

4.8% of KRM22 shares are owned by institutional investors. Comparatively, 1.3% of JPMorgan Multi-Asset Growth & Income shares are owned by institutional investors. 7.3% of KRM22 shares are owned by insiders. Comparatively, 16.0% of JPMorgan Multi-Asset Growth & Income shares are owned by insiders. Strong institutional ownership is an indication that endowments, hedge funds and large money managers believe a stock will outperform the market over the long term.

Summary

KRM22 and JPMorgan Multi-Asset Growth & Income tied by winning 5 of the 10 factors compared between the two stocks.

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Media Sentiment Over Time

This chart shows the average media sentiment of LON and its competitors over the past 90 days as caculated by MarketBeat. The averaged score is equivalent to the following: Very Negative Sentiment <= -1.5, Negative Sentiment > -1.5 and <= -0.5, Neutral Sentiment > -0.5 and < 0.5, Positive Sentiment >= 0.5 and < 1.5, and Very Positive Sentiment >= 1.5.
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KRM vs. The Competition

MetricKRM22Asset Management IndustryFinancial SectorLON Exchange
Market Cap£17.80M£2.35B£5.16B£2.60B
Dividend YieldN/A5.97%5.25%6.15%
P/E Ratio-6.5225.1415.93365.91
Price / Sales2.502,063.581,023.0988,030.08
Price / Cash4.8060.1791.0127.89
Price / Book-9.651.356.597.74
Net Income-£2.54M£265.53M£1.15B£5.89B
7 Day Performance-9.09%-0.71%-0.26%0.21%
1 Month Performance-9.09%1.69%1.19%1.56%
1 Year Performance6.76%12.04%18.11%77.95%

KRM22 Competitors List

CompanyMarketRankShare PriceAnalysts' Price Target1Y Price PerformanceMarket CapRevenueP/E RatioEmployee CountIndicator(s)
KRM
KRM22
N/AGBX 30
-4.8%
N/A+0.0%£17.80M£7.12MN/A45
MIG4
Mobeus Income & Growth 4 VCT
N/AN/AN/AN/A£77.39M-£12.69MN/AN/A
MIG5
Maven Income and Growth VCT 5
N/AGBX 28.70
-0.3%
N/A-3.7%£76.73M£2.34M34.58N/A
EJFI
EJF Investments
N/AGBX 131
+0.4%
N/A+11.0%£76.10M£7.69M16.79N/A
MVI
Marwyn Value Investors
N/AGBX 134.50
+0.4%
N/A+25.5%£76.04M£38.55M1.9418

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This page (LON:KRM) was last updated on 5/16/2026 by MarketBeat.com Staff.
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