OTCMKTS:MAURY

Marui Group Competitors

$40.92
+1.49 (+3.78 %)
(As of 04/16/2021 12:00 AM ET)
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Today's Range
$40.16
Now: $40.92
$41.12
50-Day Range
$36.62
MA: $39.41
$42.38
52-Week Range
$28.81
Now: $40.92
$42.77
Volume9,098 shs
Average Volume9,996 shs
Market Capitalization$4.40 billion
P/E RatioN/A
Dividend Yield1.80%
Beta0.61

Competitors

Marui Group (OTCMKTS:MAURY) Vs. DWHHF, OMRNY, OMVJF, NNGRY, SGTZY, and ATASY

Should you be buying MAURY stock or one of its competitors? Companies in the industry of "private households" are considered alternatives and competitors to Marui Group, including Deutsche Wohnen (DWHHF), OMRON (OMRNY), OMV Aktiengesellschaft (OMVJF), NN Group (NNGRY), Surgutneftegas Public Joint Stock (SGTZY), and Atlantia (ATASY).

Deutsche Wohnen (OTCMKTS:DWHHF) and Marui Group (OTCMKTS:MAURY) are both finance companies, but which is the superior business? We will compare the two businesses based on the strength of their valuation, earnings, risk, analyst recommendations, dividends, institutional ownership and profitability.

Analyst Ratings

This is a breakdown of recent ratings for Deutsche Wohnen and Marui Group, as provided by MarketBeat.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Deutsche Wohnen10502.67
Marui Group00103.00

Institutional & Insider Ownership

1.0% of Marui Group shares are held by institutional investors. Strong institutional ownership is an indication that endowments, large money managers and hedge funds believe a stock will outperform the market over the long term.

Earnings and Valuation

This table compares Deutsche Wohnen and Marui Group's gross revenue, earnings per share and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Deutsche Wohnen$937.88 million19.88$1.71 billion$4.2812.11
Marui Group$2.28 billion1.93$237.36 millionN/AN/A

Deutsche Wohnen has higher earnings, but lower revenue than Marui Group.

Profitability

This table compares Deutsche Wohnen and Marui Group's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
Deutsche Wohnen145.51%9.32%4.20%
Marui GroupN/AN/AN/A

Volatility and Risk

Deutsche Wohnen has a beta of 0.23, suggesting that its stock price is 77% less volatile than the S&P 500. Comparatively, Marui Group has a beta of 0.61, suggesting that its stock price is 39% less volatile than the S&P 500.

Summary

Deutsche Wohnen beats Marui Group on 6 of the 10 factors compared between the two stocks.

OMRON (OTCMKTS:OMRNY) and Marui Group (OTCMKTS:MAURY) are both computer and technology companies, but which is the superior business? We will compare the two companies based on the strength of their valuation, dividends, risk, institutional ownership, earnings, profitability and analyst recommendations.

Volatility & Risk

OMRON has a beta of 1.19, indicating that its share price is 19% more volatile than the S&P 500. Comparatively, Marui Group has a beta of 0.61, indicating that its share price is 39% less volatile than the S&P 500.

Profitability

This table compares OMRON and Marui Group's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
OMRONN/AN/AN/A
Marui GroupN/AN/AN/A

Earnings and Valuation

This table compares OMRON and Marui Group's revenue, earnings per share (EPS) and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
OMRON$6.24 billion2.74$689.03 millionN/AN/A
Marui Group$2.28 billion1.93$237.36 millionN/AN/A

OMRON has higher revenue and earnings than Marui Group.

Dividends

OMRON pays an annual dividend of $0.63 per share and has a dividend yield of 0.8%. Marui Group pays an annual dividend of $0.71 per share and has a dividend yield of 1.7%.

Institutional & Insider Ownership

0.9% of OMRON shares are owned by institutional investors. Comparatively, 1.0% of Marui Group shares are owned by institutional investors. Strong institutional ownership is an indication that large money managers, hedge funds and endowments believe a company is poised for long-term growth.

Analyst Recommendations

This is a breakdown of current recommendations for OMRON and Marui Group, as reported by MarketBeat.com.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
OMRON01102.50
Marui Group00103.00

Summary

OMRON beats Marui Group on 4 of the 7 factors compared between the two stocks.

OMV Aktiengesellschaft (OTCMKTS:OMVJF) and Marui Group (OTCMKTS:MAURY) are both oils/energy companies, but which is the superior investment? We will compare the two companies based on the strength of their valuation, institutional ownership, dividends, earnings, profitability, analyst recommendations and risk.

Insider and Institutional Ownership

1.0% of Marui Group shares are owned by institutional investors. Strong institutional ownership is an indication that hedge funds, large money managers and endowments believe a stock is poised for long-term growth.

Analyst Ratings

This is a breakdown of recent ratings and target prices for OMV Aktiengesellschaft and Marui Group, as provided by MarketBeat.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
OMV Aktiengesellschaft0000N/A
Marui Group00103.00

Earnings and Valuation

This table compares OMV Aktiengesellschaft and Marui Group's revenue, earnings per share (EPS) and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
OMV Aktiengesellschaft$26.28 billion0.64$1.96 billion$5.579.20
Marui Group$2.28 billion1.93$237.36 millionN/AN/A

OMV Aktiengesellschaft has higher revenue and earnings than Marui Group.

Profitability

This table compares OMV Aktiengesellschaft and Marui Group's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
OMV Aktiengesellschaft-1.64%4.61%1.83%
Marui GroupN/AN/AN/A

Volatility & Risk

OMV Aktiengesellschaft has a beta of 1.03, meaning that its stock price is 3% more volatile than the S&P 500. Comparatively, Marui Group has a beta of 0.61, meaning that its stock price is 39% less volatile than the S&P 500.

Summary

OMV Aktiengesellschaft beats Marui Group on 5 of the 9 factors compared between the two stocks.

NN Group (OTCMKTS:NNGRY) and Marui Group (OTCMKTS:MAURY) are both finance companies, but which is the better investment? We will contrast the two businesses based on the strength of their profitability, earnings, valuation, risk, institutional ownership, dividends and analyst recommendations.

Analyst Recommendations

This is a summary of recent ratings for NN Group and Marui Group, as reported by MarketBeat.com.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
NN Group05502.50
Marui Group00103.00

Volatility & Risk

NN Group has a beta of 1.07, suggesting that its share price is 7% more volatile than the S&P 500. Comparatively, Marui Group has a beta of 0.61, suggesting that its share price is 39% less volatile than the S&P 500.

Earnings and Valuation

This table compares NN Group and Marui Group's top-line revenue, earnings per share (EPS) and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
NN Group$22.92 billion0.72$2.20 billionN/AN/A
Marui Group$2.28 billion1.93$237.36 millionN/AN/A

NN Group has higher revenue and earnings than Marui Group.

Profitability

This table compares NN Group and Marui Group's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
NN GroupN/AN/AN/A
Marui GroupN/AN/AN/A

Dividends

NN Group pays an annual dividend of $2.18 per share and has a dividend yield of 8.7%. Marui Group pays an annual dividend of $0.71 per share and has a dividend yield of 1.7%.

Insider and Institutional Ownership

0.4% of NN Group shares are held by institutional investors. Comparatively, 1.0% of Marui Group shares are held by institutional investors. Strong institutional ownership is an indication that endowments, hedge funds and large money managers believe a company is poised for long-term growth.

Summary

NN Group beats Marui Group on 5 of the 8 factors compared between the two stocks.

Surgutneftegas Public Joint Stock (OTCMKTS:SGTZY) and Marui Group (OTCMKTS:MAURY) are both oils/energy companies, but which is the superior business? We will contrast the two businesses based on the strength of their institutional ownership, earnings, analyst recommendations, valuation, dividends, risk and profitability.

Profitability

This table compares Surgutneftegas Public Joint Stock and Marui Group's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
Surgutneftegas Public Joint StockN/AN/AN/A
Marui GroupN/AN/AN/A

Earnings & Valuation

This table compares Surgutneftegas Public Joint Stock and Marui Group's top-line revenue, earnings per share (EPS) and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Surgutneftegas Public Joint Stock$28.13 billion0.58$1.65 billionN/AN/A
Marui Group$2.28 billion1.93$237.36 millionN/AN/A

Surgutneftegas Public Joint Stock has higher revenue and earnings than Marui Group.

Dividends

Surgutneftegas Public Joint Stock pays an annual dividend of $0.04 per share and has a dividend yield of 0.9%. Marui Group pays an annual dividend of $0.71 per share and has a dividend yield of 1.7%.

Analyst Ratings

This is a summary of recent ratings and recommmendations for Surgutneftegas Public Joint Stock and Marui Group, as provided by MarketBeat.com.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Surgutneftegas Public Joint Stock01002.00
Marui Group00103.00

Risk & Volatility

Surgutneftegas Public Joint Stock has a beta of 1.2, indicating that its stock price is 20% more volatile than the S&P 500. Comparatively, Marui Group has a beta of 0.61, indicating that its stock price is 39% less volatile than the S&P 500.

Institutional and Insider Ownership

0.0% of Surgutneftegas Public Joint Stock shares are owned by institutional investors. Comparatively, 1.0% of Marui Group shares are owned by institutional investors. Strong institutional ownership is an indication that large money managers, endowments and hedge funds believe a stock will outperform the market over the long term.

Summary

Marui Group beats Surgutneftegas Public Joint Stock on 5 of the 8 factors compared between the two stocks.

Atlantia (OTCMKTS:ATASY) and Marui Group (OTCMKTS:MAURY) are both construction companies, but which is the superior investment? We will contrast the two companies based on the strength of their valuation, earnings, analyst recommendations, dividends, risk, profitability and institutional ownership.

Earnings & Valuation

This table compares Atlantia and Marui Group's revenue, earnings per share (EPS) and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Atlantia$14.13 billion1.14$152.32 million$0.09108.56
Marui Group$2.28 billion1.93$237.36 millionN/AN/A

Marui Group has lower revenue, but higher earnings than Atlantia.

Analyst Ratings

This is a summary of recent recommendations for Atlantia and Marui Group, as reported by MarketBeat.com.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Atlantia01202.67
Marui Group00103.00

Institutional & Insider Ownership

0.1% of Atlantia shares are owned by institutional investors. Comparatively, 1.0% of Marui Group shares are owned by institutional investors. Strong institutional ownership is an indication that large money managers, hedge funds and endowments believe a stock is poised for long-term growth.

Profitability

This table compares Atlantia and Marui Group's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
AtlantiaN/AN/AN/A
Marui GroupN/AN/AN/A

Volatility & Risk

Atlantia has a beta of 1.25, suggesting that its share price is 25% more volatile than the S&P 500. Comparatively, Marui Group has a beta of 0.61, suggesting that its share price is 39% less volatile than the S&P 500.

Summary

Marui Group beats Atlantia on 4 of the 7 factors compared between the two stocks.


Marui Group Competitors List

Competitor NameCompetitor BTM RankCompetitor PriceCompetitor Price ChangeCompetitor Market CapCompetitor RevenueCompetitor P/E RatioCompetitor Indicator(s)
Deutsche Wohnen logo
DWHHF
Deutsche Wohnen
0.9$51.84+6.9%$17.37 billion$937.88 million15.16Gap Down
OMRON logo
OMRNY
OMRON
1.0$82.95+1.1%$17.11 billion$6.24 billion0.00Increase in Short Interest
News Coverage
OMV Aktiengesellschaft logo
OMVJF
OMV Aktiengesellschaft
1.0$51.22+0.0%$16.72 billion$26.28 billion-51.74Analyst Revision
NN Group logo
NNGRY
NN Group
1.1$25.08+0.3%$16.57 billion$22.92 billion7.79
Surgutneftegas Public Joint Stock logo
SGTZY
Surgutneftegas Public Joint Stock
0.1$4.60+0.0%$16.43 billion$28.13 billion0.00
Atlantia logo
ATASY
Atlantia
0.6$9.77+0.9%$16.14 billion$14.13 billion108.56Decrease in Short Interest
News Coverage
Chow Tai Fook Jewellery Group logo
CJEWY
Chow Tai Fook Jewellery Group
1.2$16.10+4.9%$16.10 billion$7.26 billion43.51Analyst Revision
bioMérieux logo
BMXMF
bioMérieux
0.5$134.50+1.9%$15.92 billion$3.00 billion52.13
COSCO SHIPPING logo
CICOY
COSCO SHIPPING
0.8$7.68+2.7%$15.69 billion$21.78 billion96.00News Coverage
Gap Down
Carrefour logo
CRRFY
Carrefour
1.1$3.68+1.6%$15.04 billion$81.09 billion14.15Increase in Short Interest
Terna - Rete Elettrica Nazionale Società per Azioni logo
TEZNY
Terna - Rete Elettrica Nazionale Società per Azioni
0.6$21.96+0.5%$14.71 billionN/A0.00Decrease in Short Interest
News Coverage
Persimmon logo
PSMMY
Persimmon
1.3$90.35+0.9%$14.41 billion$4.66 billion13.15
Schroders logo
SHNWF
Schroders
0.9$50.40+0.2%$14.24 billion$3.24 billion19.92Gap Down
Brenntag logo
BNTGY
Brenntag
1.2$18.42+2.8%$14.23 billion$14.36 billion27.09Increase in Short Interest
Gap Down
Sompo logo
SMPNY
Sompo
1.7$18.94+0.5%$14.14 billion$34.60 billion10.76
Yara International ASA logo
YARIY
Yara International ASA
1.5$26.35+2.6%$14.13 billion$12.94 billion21.77Upcoming Earnings
Analyst Downgrade
Decrease in Short Interest
Gap Down
Randstad logo
RANJY
Randstad
1.3$38.30+0.5%$14.09 billion$26.52 billion49.10Analyst Report
Kumba Iron Ore logo
KIROY
Kumba Iron Ore
0.8$14.45+0.0%$13.96 billion$4.45 billion0.00Decrease in Short Interest
News Coverage
Edenred logo
EDNMY
Edenred
0.4$27.62+0.4%$13.62 billion$1.82 billion0.00Increase in Short Interest
News Coverage
MonotaRO logo
MONOY
MonotaRO
1.1$54.00+0.1%$13.53 billion$1.21 billion120.00Upcoming Earnings
Gap Up
Mondi logo
MONDY
Mondi
1.4$54.57+6.2%$13.25 billion$8.14 billion14.14Analyst Upgrade
News Coverage
Gap Down
Nitto Denko logo
NDEKY
Nitto Denko
1.1$44.21+1.4%$13.24 billion$6.82 billion31.81Increase in Short Interest
Gap Up
Covestro logo
COVTY
Covestro
1.1$34.18+1.2%$13.21 billion$13.90 billion57.94Dividend Announcement
Analyst Report
Analyst Revision
News Coverage
Bureau Veritas logo
BVRDF
Bureau Veritas
0.9$29.56+0.0%$13.21 billion$5.71 billion25.93
Smurfit Kappa Group logo
SMFKY
Smurfit Kappa Group
1.5$50.80+2.1%$13.16 billion$10.13 billion16.66Analyst Upgrade
Increase in Short Interest
News Coverage
Gap Down
Halma logo
HLMAF
Halma
0.8$34.65+2.1%$13.15 billion$1.70 billion47.47Analyst Report
Increase in Short Interest
Gap Up
SEGRO logo
SEGXF
SEGRO
0.5$13.07+0.0%$13.11 billion$552.27 million0.00
Croda International logo
COIHY
Croda International
1.0$46.65+1.7%$13.02 billion$1.76 billion39.53Analyst Report
Renault logo
RNLSY
Renault
0.7$8.65+2.9%$12.79 billion$62.21 billion-72.08Increase in Short Interest
Gap Down
Davide Campari-Milano logo
DVDCF
Davide Campari-Milano
1.2$11.04+3.9%$12.71 billion$2.06 billion42.46Decrease in Short Interest
Gap Down
HRELY
Haier Electronics Group
0.7$44.88+0.0%$12.64 billion$10.98 billion21.27
Disco logo
DSCSY
Disco
1.3$69.68+1.0%$12.56 billion$1.30 billion43.55Upcoming Earnings
GN Store Nord A/S logo
GNNDY
GN Store Nord A/S
1.1$264.41+0.2%$12.54 billion$1.89 billion59.15Analyst Downgrade
Increase in Short Interest
Air China logo
AIRYY
Air China
1.0$17.17+0.0%$12.47 billion$33.09 billion-7.84Decrease in Short Interest
MTN Group logo
MTNOY
MTN Group
0.5$6.53+0.0%$12.24 billion$10.49 billion0.00
Spirax-Sarco Engineering logo
SPXSF
Spirax-Sarco Engineering
0.7$165.20+0.0%$12.17 billion$1.59 billion48.88News Coverage
Brambles logo
BXBLY
Brambles
1.3$16.53+1.5%$12.00 billion$4.73 billion25.43Decrease in Short Interest
ageas SA/NV logo
AGESY
ageas SA/NV
1.3$61.29+0.8%$11.92 billion$16.91 billion9.47Increase in Short Interest
CLLDY
CapitaLand
1.0$5.68+1.1%$11.86 billion$4.57 billion9.02Decrease in Short Interest
News Coverage
Gap Up
COIHD
Croda International
1.2$45.87+1.6%$11.79 billion$1.85 billion35.56
Burberry Group logo
BURBY
Burberry Group
0.8$28.78+0.4%$11.65 billion$3.37 billion28.50Decrease in Short Interest
Barratt Developments logo
BTDPY
Barratt Developments
1.0$22.35+0.4%$11.38 billion$4.24 billion23.04Analyst Upgrade
Decrease in Short Interest
ZTE logo
ZTCOY
ZTE
1.4$4.93+0.8%$11.37 billion$13.00 billion14.50Upcoming Earnings
Analyst Upgrade
Davide Campari-Milano logo
DVDCY
Davide Campari-Milano
1.3$9.85+5.2%$11.34 billion$2.06 billion37.88
RCDTF
Recordati Industria Chimica e Farmaceutica
0.7$53.65+0.0%$11.22 billion$1.64 billion25.79Increase in Short Interest
Ajinomoto logo
AJINY
Ajinomoto
0.5$20.19+1.6%$11.09 billion$10.12 billion0.00Increase in Short Interest
Gap Up
ROHM logo
ROHCY
ROHM
0.6$52.84+0.2%$10.89 billion$3.34 billion47.60Decrease in Short Interest
Aisin Seiki logo
ASEKY
Aisin Seiki
1.3$36.79+1.2%$10.84 billion$34.89 billion-24.36Gap Down
Bank Hapoalim B.M. logo
BKHYY
Bank Hapoalim B.M.
0.4$40.00+0.0%$10.69 billion$4.44 billion25.16Gap Up
Jerónimo Martins, SGPS logo
JRONY
Jerónimo Martins, SGPS
1.2$33.81+0.0%$10.62 billion$20.87 billion27.71
This page was last updated on 4/16/2021 by MarketBeat.com Staff
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