OTCMKTS:SCRYY

Scor Competitors

$3.37
+0.04 (+1.20 %)
(As of 04/21/2021 12:00 AM ET)
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Today's Range
$3.31
Now: $3.37
$3.37
50-Day Range
$3.33
MA: $3.48
$3.58
52-Week Range
$2.34
Now: $3.37
$3.62
Volume14,389 shs
Average Volume21,144 shs
Market Capitalization$6.32 billion
P/E Ratio33.70
Dividend YieldN/A
Beta1.39

Competitors

Scor (OTCMKTS:SCRYY) Vs. AVVIY, GL, AEG, LNC, ATH, and SNYFY

Should you be buying SCRYY stock or one of its competitors? Companies in the industry of "life insurance" are considered alternatives and competitors to Scor, including Aviva (AVVIY), Globe Life (GL), Aegon (AEG), Lincoln National (LNC), Athene (ATH), and Sony Financial (SNYFY).

Aviva (OTCMKTS:AVVIY) and Scor (OTCMKTS:SCRYY) are both finance companies, but which is the better business? We will compare the two businesses based on the strength of their institutional ownership, analyst recommendations, valuation, profitability, risk, dividends and earnings.

Insider and Institutional Ownership

0.2% of Aviva shares are held by institutional investors. Strong institutional ownership is an indication that endowments, large money managers and hedge funds believe a stock is poised for long-term growth.

Analyst Ratings

This is a breakdown of current ratings for Aviva and Scor, as provided by MarketBeat.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Aviva031002.77
Scor03602.67

Valuation and Earnings

This table compares Aviva and Scor's gross revenue, earnings per share and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Aviva$89.71 billion0.25$3.25 billion$1.537.33
Scor$15.75 billion0.40$472.64 million$0.2513.48

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

Risk & Volatility

Aviva has a beta of 1.3, indicating that its stock price is 30% more volatile than the S&P 500. Comparatively, Scor has a beta of 1.39, indicating that its stock price is 39% more volatile than the S&P 500.

Profitability

This table compares Aviva and Scor's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
AvivaN/AN/AN/A
Scor1.11%2.53%0.35%

Globe Life (NYSE:GL) and Scor (OTCMKTS:SCRYY) are both finance companies, but which is the superior business? We will contrast the two companies based on the strength of their dividends, risk, valuation, institutional ownership, earnings, analyst recommendations and profitability.

Risk & Volatility

Globe Life has a beta of 1.13, suggesting that its stock price is 13% more volatile than the S&P 500. Comparatively, Scor has a beta of 1.39, suggesting that its stock price is 39% more volatile than the S&P 500.

Insider & Institutional Ownership

72.5% of Globe Life shares are owned by institutional investors. 3.8% of Globe Life 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.

Profitability

This table compares Globe Life and Scor's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
Globe Life15.38%10.28%2.82%
Scor1.11%2.53%0.35%

Valuation and Earnings

This table compares Globe Life and Scor's top-line revenue, earnings per share (EPS) and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Globe Life$4.53 billion2.64$760.79 millionN/AN/A
Scor$15.75 billion0.40$472.64 million$0.2513.48

Globe Life has higher earnings, but lower revenue than Scor.

Analyst Recommendations

This is a breakdown of current ratings and recommmendations for Globe Life and Scor, as reported by MarketBeat.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Globe Life12202.20
Scor03602.67

Globe Life presently has a consensus target price of $99.80, indicating a potential downside of 2.23%. Given Globe Life's higher probable upside, equities analysts clearly believe Globe Life is more favorable than Scor.

Summary

Globe Life beats Scor on 8 of the 13 factors compared between the two stocks.

Scor (OTCMKTS:SCRYY) and Aegon (NYSE:AEG) are both finance companies, but which is the better business? We will contrast the two companies based on the strength of their risk, analyst recommendations, earnings, institutional ownership, valuation, dividends and profitability.

Profitability

This table compares Scor and Aegon's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
Scor1.11%2.53%0.35%
AegonN/AN/AN/A

Earnings and Valuation

This table compares Scor and Aegon's gross revenue, earnings per share (EPS) and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Scor$15.75 billion0.40$472.64 million$0.2513.48
Aegon$31.58 billion0.38$1.39 billion$0.924.83

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

Risk & Volatility

Scor has a beta of 1.39, meaning that its share price is 39% more volatile than the S&P 500. Comparatively, Aegon has a beta of 1.37, meaning that its share price is 37% more volatile than the S&P 500.

Analyst Recommendations

This is a breakdown of recent ratings and price targets for Scor and Aegon, as provided by MarketBeat.com.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Scor03602.67
Aegon312201.94

Summary

Scor beats Aegon on 8 of the 11 factors compared between the two stocks.

Lincoln National (NYSE:LNC) and Scor (OTCMKTS:SCRYY) are both finance companies, but which is the superior business? We will contrast the two businesses based on the strength of their earnings, dividends, profitability, institutional ownership, risk, analyst recommendations and valuation.

Risk and Volatility

Lincoln National has a beta of 2.26, suggesting that its stock price is 126% more volatile than the S&P 500. Comparatively, Scor has a beta of 1.39, suggesting that its stock price is 39% more volatile than the S&P 500.

Valuation & Earnings

This table compares Lincoln National and Scor's top-line revenue, earnings per share (EPS) and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Lincoln National$17.26 billion0.70$886 million$8.707.26
Scor$15.75 billion0.40$472.64 million$0.2513.48

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

Insider & Institutional Ownership

76.7% of Lincoln National shares are owned by institutional investors. 1.5% of Lincoln National shares are owned by company insiders. Strong institutional ownership is an indication that hedge funds, large money managers and endowments believe a stock will outperform the market over the long term.

Profitability

This table compares Lincoln National and Scor's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
Lincoln National4.28%5.09%0.30%
Scor1.11%2.53%0.35%

Analyst Recommendations

This is a summary of recent ratings and target prices for Lincoln National and Scor, as reported by MarketBeat.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Lincoln National17402.25
Scor03602.67

Lincoln National presently has a consensus target price of $58.3846, suggesting a potential downside of 6.87%. Given Lincoln National's higher probable upside, analysts plainly believe Lincoln National is more favorable than Scor.

Summary

Lincoln National beats Scor on 10 of the 14 factors compared between the two stocks.

Athene (NYSE:ATH) and Scor (OTCMKTS:SCRYY) are both finance companies, but which is the better stock? We will compare the two companies based on the strength of their dividends, earnings, analyst recommendations, risk, profitability, valuation and institutional ownership.

Insider and Institutional Ownership

91.5% of Athene shares are held by institutional investors. 7.6% of Athene shares are held by insiders. Strong institutional ownership is an indication that endowments, large money managers and hedge funds believe a company is poised for long-term growth.

Profitability

This table compares Athene and Scor's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
AtheneN/A7.94%0.69%
Scor1.11%2.53%0.35%

Valuation & Earnings

This table compares Athene and Scor's revenue, earnings per share and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Athene$16.26 billion0.67$2.17 billion$6.948.23
Scor$15.75 billion0.40$472.64 million$0.2513.48

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

Analyst Recommendations

This is a summary of recent recommendations and price targets for Athene and Scor, as provided by MarketBeat.com.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Athene05602.55
Scor03602.67

Athene presently has a consensus target price of $52.7273, suggesting a potential downside of 6.76%. Given Athene's higher possible upside, equities research analysts clearly believe Athene is more favorable than Scor.

Volatility and Risk

Athene has a beta of 1.61, suggesting that its stock price is 61% more volatile than the S&P 500. Comparatively, Scor has a beta of 1.39, suggesting that its stock price is 39% more volatile than the S&P 500.

Summary

Athene beats Scor on 10 of the 13 factors compared between the two stocks.

Scor (OTCMKTS:SCRYY) and Sony Financial (OTCMKTS:SNYFY) are both finance companies, but which is the superior investment? We will contrast the two companies based on the strength of their valuation, earnings, profitability, risk, institutional ownership, analyst recommendations and dividends.

Analyst Ratings

This is a summary of current ratings for Scor and Sony Financial, as provided by MarketBeat.com.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Scor03602.67
Sony Financial01002.00

Volatility & Risk

Scor has a beta of 1.39, indicating that its stock price is 39% more volatile than the S&P 500. Comparatively, Sony Financial has a beta of 1.12, indicating that its stock price is 12% more volatile than the S&P 500.

Profitability

This table compares Scor and Sony Financial's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
Scor1.11%2.53%0.35%
Sony Financial3.33%9.74%0.44%

Valuation & Earnings

This table compares Scor and Sony Financial's top-line revenue, earnings per share and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Scor$15.75 billion0.40$472.64 million$0.2513.48
Sony Financial$16.39 billion0.64$684.76 million$1.6314.79

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

Summary

Sony Financial beats Scor on 7 of the 11 factors compared between the two stocks.


Scor Competitors List

Competitor NameCompetitor BTM RankCompetitor PriceCompetitor Price ChangeCompetitor Market CapCompetitor RevenueCompetitor P/E RatioCompetitor Indicator(s)
Aviva logo
AVVIY
Aviva
1.7$11.22+0.4%$22.04 billion$89.71 billion7.33
Globe Life logo
GL
Globe Life
1.1$102.93+2.4%$12.22 billion$4.53 billion15.62Earnings Announcement
Aegon logo
AEG
Aegon
1.7$4.44+2.3%$12.17 billion$31.58 billion4.83Analyst Upgrade
Lincoln National logo
LNC
Lincoln National
2.7$63.18+0.6%$12.15 billion$17.26 billion16.54Analyst Report
Analyst Revision
Athene logo
ATH
Athene
2.1$57.11+0.9%$10.85 billion$16.26 billion14.42
Sony Financial logo
SNYFY
Sony Financial
0.7$24.11+0.0%$10.49 billion$16.39 billion17.86
Reinsurance Group of America logo
RGA
Reinsurance Group of America
2.2$130.84+0.6%$8.95 billion$14.30 billion16.63
Voya Financial logo
VOYA
Voya Financial
1.7$67.20+0.2%$8.13 billion$7.48 billion-7.19
Primerica logo
PRI
Primerica
2.0$158.91+1.4%$6.34 billion$2.05 billion17.07Analyst Report
Analyst Revision
Brighthouse Financial logo
BHF
Brighthouse Financial
1.6$45.60+0.1%$3.99 billion$6.55 billion-2.76
American National Group logo
ANAT
American National Group
0.9$113.04+0.6%$3.06 billion$4.07 billion0.00
American Equity Investment Life logo
AEL
American Equity Investment Life
1.8$31.25+0.7%$3.00 billion$3.46 billion3.33Analyst Revision
Genworth Financial logo
GNW
Genworth Financial
0.9$3.88+3.1%$1.90 billion$8.10 billion-19.40Upcoming Earnings
Decrease in Short Interest
FBL Financial Group logo
FFG
FBL Financial Group
2.2$56.84+0.1%$1.39 billion$774.68 million17.71
National Western Life Group logo
NWLI
National Western Life Group
1.1$233.87+0.3%$850.35 million$819.19 million8.71News Coverage
Independence logo
IHC
Independence
0.6$44.75+2.4%$655.99 million$374.45 million159.83
Kansas City Life Insurance logo
KCLI
Kansas City Life Insurance
1.2$45.90+2.0%$444.45 million$512.69 million16.81
Citizens logo
CIA
Citizens
0.8$5.87+0.5%$298.31 million$250.54 million-48.92
GWG logo
GWGH
GWG
1.0$6.97+1.1%$233.32 million$92.28 million58.09
VERY
Vericity
0.6$10.82+1.5%$158.57 million$135.30 million-7.78Gap Up
Atlantic American logo
AAME
Atlantic American
0.9$3.97+2.5%$79.01 million$198.18 million79.40
FLFG
Federal Life Group
0.0$13.75+0.0%$49.91 million$20.82 million0.00
Emergent Capital logo
EMGC
Emergent Capital
1.0N/AN/A$39.66 million$41.53 million0.67High Trading Volume
Gap Up
Emergent Capital logo
EMGCQ
Emergent Capital
0.5$0.22+7.0%$34.91 million$41.53 million3.67Upcoming Earnings
Gap Up
NSEC
The National Security Group
0.9$11.13+10.3%$28.15 million$67.40 million-6.18Gap Down
This page was last updated on 4/22/2021 by MarketBeat.com Staff
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