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S&P 500   3,768.25
DOW   30,814.26
QQQ   311.86
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S&P 500   3,768.25
DOW   30,814.26
QQQ   311.86
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S&P 500   3,768.25
DOW   30,814.26
QQQ   311.86
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OTCMKTS:VLPNY

Voestalpine Competitors

$7.50
+0.31 (+4.24 %)
(As of 01/15/2021 08:10 PM ET)
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Today's Range
$7.45
Now: $7.50
$7.50
50-Day Range
$6.30
MA: $7.00
$7.50
52-Week Range
$2.78
Now: $7.50
$7.50
Volume372 shs
Average Volume108 shs
Market Capitalization$6.61 billion
P/E RatioN/A
Dividend Yield0.39%
Beta1.32

Competitors

Voestalpine (OTCMKTS:VLPNY) Vs. ASAZY, NRILY, SSMXY, WLMIY, SZKMY, and KRYAY

Should you be buying VLPNY stock or one of its competitors? Companies in the industry of "private households" are considered alternatives and competitors to Voestalpine, including ASSA ABLOY AB (publ) (ASAZY), Nomura Research Institute (NRILY), Sysmex (SSMXY), Wilmar International (WLMIY), Suzuki Motor (SZKMY), and Kerry Group (KRYAY).

ASSA ABLOY AB (publ) (OTCMKTS:ASAZY) and Voestalpine (OTCMKTS:VLPNY) are both industrial products companies, but which is the superior investment? We will contrast the two businesses based on the strength of their profitability, risk, institutional ownership, valuation, dividends, earnings and analyst recommendations.

Profitability

This table compares ASSA ABLOY AB (publ) and Voestalpine's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
ASSA ABLOY AB (publ)9.35%13.66%6.71%
Voestalpine-5.27%-10.77%-4.00%

Dividends

ASSA ABLOY AB (publ) pays an annual dividend of $0.14 per share and has a dividend yield of 1.1%. Voestalpine pays an annual dividend of $0.03 per share and has a dividend yield of 0.4%. ASSA ABLOY AB (publ) pays out 29.2% of its earnings in the form of a dividend. Voestalpine pays out -10.7% of its earnings in the form of a dividend. Both companies have healthy payout ratios and should be able to cover their dividend payments with earnings for the next several years.

Insider & Institutional Ownership

0.3% of ASSA ABLOY AB (publ) 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 Recommendations

This is a breakdown of current recommendations and price targets for ASSA ABLOY AB (publ) and Voestalpine, as reported by MarketBeat.com.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
ASSA ABLOY AB (publ)25702.36
Voestalpine32001.40

Earnings & Valuation

This table compares ASSA ABLOY AB (publ) and Voestalpine's top-line revenue, earnings per share (EPS) and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
ASSA ABLOY AB (publ)$9.95 billion2.61$1.06 billion$0.4825.66
Voestalpine$14.14 billionN/A$-232,140,000.00($0.28)-26.77

ASSA ABLOY AB (publ) has higher earnings, but lower revenue than Voestalpine. Voestalpine is trading at a lower price-to-earnings ratio than ASSA ABLOY AB (publ), indicating that it is currently the more affordable of the two stocks.

Risk and Volatility

ASSA ABLOY AB (publ) has a beta of 0.79, indicating that its share price is 21% less volatile than the S&P 500. Comparatively, Voestalpine has a beta of 1.32, indicating that its share price is 32% more volatile than the S&P 500.

Summary

ASSA ABLOY AB (publ) beats Voestalpine on 10 of the 13 factors compared between the two stocks.

Nomura Research Institute (OTCMKTS:NRILY) and Voestalpine (OTCMKTS:VLPNY) are both business services companies, but which is the better investment? We will contrast the two companies based on the strength of their institutional ownership, dividends, earnings, risk, analyst recommendations, valuation and profitability.

Profitability

This table compares Nomura Research Institute and Voestalpine's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
Nomura Research Institute10.15%18.86%10.28%
Voestalpine-5.27%-10.77%-4.00%

Dividends

Nomura Research Institute pays an annual dividend of $0.23 per share and has a dividend yield of 0.6%. Voestalpine pays an annual dividend of $0.03 per share and has a dividend yield of 0.4%. Nomura Research Institute pays out 23.0% of its earnings in the form of a dividend. Voestalpine pays out -10.7% of its earnings in the form of a dividend. Both companies have healthy payout ratios and should be able to cover their dividend payments with earnings for the next several years.

Analyst Ratings

This is a summary of current ratings and target prices for Nomura Research Institute and Voestalpine, as reported by MarketBeat.com.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Nomura Research Institute0000N/A
Voestalpine32001.40

Earnings and Valuation

This table compares Nomura Research Institute and Voestalpine's gross revenue, earnings per share (EPS) and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Nomura Research Institute$4.87 billion5.33$636.67 million$1.0037.36
Voestalpine$14.14 billionN/A$-232,140,000.00($0.28)-26.77

Nomura Research Institute has higher earnings, but lower revenue than Voestalpine. Voestalpine is trading at a lower price-to-earnings ratio than Nomura Research Institute, indicating that it is currently the more affordable of the two stocks.

Risk & Volatility

Nomura Research Institute has a beta of 0.46, indicating that its share price is 54% less volatile than the S&P 500. Comparatively, Voestalpine has a beta of 1.32, indicating that its share price is 32% more volatile than the S&P 500.

Summary

Nomura Research Institute beats Voestalpine on 7 of the 10 factors compared between the two stocks.

Sysmex (OTCMKTS:SSMXY) and Voestalpine (OTCMKTS:VLPNY) are both medical companies, but which is the better investment? We will contrast the two companies based on the strength of their institutional ownership, dividends, earnings, risk, analyst recommendations, valuation and profitability.

Profitability

This table compares Sysmex and Voestalpine's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
Sysmex10.29%10.73%7.91%
Voestalpine-5.27%-10.77%-4.00%

Dividends

Sysmex pays an annual dividend of $0.25 per share and has a dividend yield of 0.4%. Voestalpine pays an annual dividend of $0.03 per share and has a dividend yield of 0.4%. Sysmex pays out 32.5% of its earnings in the form of a dividend. Voestalpine pays out -10.7% of its earnings in the form of a dividend. Both companies have healthy payout ratios and should be able to cover their dividend payments with earnings for the next several years.

Insider & Institutional Ownership

1.0% of Sysmex shares are owned 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.

Analyst Ratings

This is a summary of current ratings and target prices for Sysmex and Voestalpine, as reported by MarketBeat.com.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Sysmex12102.00
Voestalpine32001.40

Earnings and Valuation

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

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Sysmex$2.78 billion9.30$320.91 million$0.7780.34
Voestalpine$14.14 billionN/A$-232,140,000.00($0.28)-26.77

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

Volatility and Risk

Sysmex has a beta of 0.24, meaning that its stock price is 76% less volatile than the S&P 500. Comparatively, Voestalpine has a beta of 1.32, meaning that its stock price is 32% more volatile than the S&P 500.

Summary

Sysmex beats Voestalpine on 10 of the 13 factors compared between the two stocks.

Wilmar International (OTCMKTS:WLMIY) and Voestalpine (OTCMKTS:VLPNY) are both basic materials companies, but which is the better investment? We will contrast the two companies based on the strength of their institutional ownership, dividends, earnings, risk, analyst recommendations, valuation and profitability.

Volatility and Risk

Wilmar International has a beta of 0.95, meaning that its stock price is 5% less volatile than the S&P 500. Comparatively, Voestalpine has a beta of 1.32, meaning that its stock price is 32% more volatile than the S&P 500.

Insider & Institutional Ownership

0.0% of Wilmar International shares are owned 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 Wilmar International and Voestalpine's gross revenue, earnings per share (EPS) and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Wilmar International$42.64 billion0.58$1.29 billionN/AN/A
Voestalpine$14.14 billionN/A$-232,140,000.00($0.28)-26.77

Wilmar International has higher revenue and earnings than Voestalpine.

Dividends

Wilmar International pays an annual dividend of $0.51 per share and has a dividend yield of 1.3%. Voestalpine pays an annual dividend of $0.03 per share and has a dividend yield of 0.4%. Voestalpine pays out -10.7% of its earnings in the form of a dividend.

Profitability

This table compares Wilmar International and Voestalpine's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
Wilmar InternationalN/AN/AN/A
Voestalpine-5.27%-10.77%-4.00%

Analyst Ratings

This is a summary of current ratings and target prices for Wilmar International and Voestalpine, as reported by MarketBeat.com.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Wilmar International00103.00
Voestalpine32001.40

Summary

Wilmar International beats Voestalpine on 10 of the 12 factors compared between the two stocks.

Suzuki Motor (OTCMKTS:SZKMY) and Voestalpine (OTCMKTS:VLPNY) are both auto/tires/trucks companies, but which is the superior stock? We will compare the two companies based on the strength of their analyst recommendations, risk, dividends, institutional ownership, earnings, profitability and valuation.

Risk and Volatility

Suzuki Motor has a beta of 1.41, meaning that its stock price is 41% more volatile than the S&P 500. Comparatively, Voestalpine has a beta of 1.32, meaning that its stock price is 32% more volatile than the S&P 500.

Insider & Institutional Ownership

0.0% of Suzuki Motor shares are held 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.

Earnings & Valuation

This table compares Suzuki Motor and Voestalpine's gross revenue, earnings per share and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Suzuki Motor$32.03 billion0.76$1.23 billion$10.4718.82
Voestalpine$14.14 billionN/A$-232,140,000.00($0.28)-26.77

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

Dividends

Suzuki Motor pays an annual dividend of $2.31 per share and has a dividend yield of 1.2%. Voestalpine pays an annual dividend of $0.03 per share and has a dividend yield of 0.4%. Suzuki Motor pays out 22.1% of its earnings in the form of a dividend. Voestalpine pays out -10.7% of its earnings in the form of a dividend. Both companies have healthy payout ratios and should be able to cover their dividend payments with earnings for the next several years.

Profitability

This table compares Suzuki Motor and Voestalpine's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
Suzuki Motor3.65%6.85%3.53%
Voestalpine-5.27%-10.77%-4.00%

Analyst Recommendations

This is a summary of recent ratings and recommmendations for Suzuki Motor and Voestalpine, as provided by MarketBeat.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Suzuki Motor01113.00
Voestalpine32001.40

Summary

Suzuki Motor beats Voestalpine on 13 of the 14 factors compared between the two stocks.

Kerry Group (OTCMKTS:KRYAY) and Voestalpine (OTCMKTS:VLPNY) are both consumer staples companies, but which is the superior stock? We will compare the two companies based on the strength of their analyst recommendations, risk, dividends, institutional ownership, earnings, profitability and valuation.

Risk and Volatility

Kerry Group has a beta of 0.66, meaning that its stock price is 34% less volatile than the S&P 500. Comparatively, Voestalpine has a beta of 1.32, meaning that its stock price is 32% more volatile than the S&P 500.

Insider & Institutional Ownership

0.1% of Kerry Group shares are held 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.

Earnings & Valuation

This table compares Kerry Group and Voestalpine's gross revenue, earnings per share and valuation.

Gross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Kerry Group$8.11 billion3.04$634.48 million$4.4131.69
Voestalpine$14.14 billionN/A$-232,140,000.00($0.28)-26.77

Kerry Group has higher earnings, but lower revenue than Voestalpine. Voestalpine is trading at a lower price-to-earnings ratio than Kerry Group, indicating that it is currently the more affordable of the two stocks.

Dividends

Kerry Group pays an annual dividend of $0.56 per share and has a dividend yield of 0.4%. Voestalpine pays an annual dividend of $0.03 per share and has a dividend yield of 0.4%. Kerry Group pays out 12.7% of its earnings in the form of a dividend. Voestalpine pays out -10.7% of its earnings in the form of a dividend. Both companies have healthy payout ratios and should be able to cover their dividend payments with earnings for the next several years.

Profitability

This table compares Kerry Group and Voestalpine's net margins, return on equity and return on assets.

Net MarginsReturn on EquityReturn on Assets
Kerry GroupN/AN/AN/A
Voestalpine-5.27%-10.77%-4.00%

Analyst Recommendations

This is a summary of recent ratings and recommmendations for Kerry Group and Voestalpine, as provided by MarketBeat.

Sell RatingsHold RatingsBuy RatingsStrong Buy RatingsRating Score
Kerry Group11702.67
Voestalpine32001.40

Summary

Kerry Group beats Voestalpine on 10 of the 13 factors compared between the two stocks.


Voestalpine Competitors List

Competitor NameCompetitor BTM RankCompetitor PriceCompetitor Price ChangeCompetitor Market CapCompetitor RevenueCompetitor P/E RatioCompetitor Indicator(s)
ASSA ABLOY AB (publ) logo
ASAZY
ASSA ABLOY AB (publ)
1.2$12.32+3.2%$25.99 billion$9.95 billion30.04
Nomura Research Institute logo
NRILY
Nomura Research Institute
1.1$37.36+0.4%$25.93 billion$4.87 billion43.95
SSMXY
Sysmex
0.6$61.86+1.1%$25.80 billion$2.78 billion93.73
Wilmar International logo
WLMIY
Wilmar International
0.7$39.32+0.3%$24.88 billion$42.64 billion19.27
Suzuki Motor logo
SZKMY
Suzuki Motor
1.5$197.08+2.3%$24.77 billion$32.03 billion23.38Increase in Short Interest
Kerry Group logo
KRYAY
Kerry Group
1.2$139.75+0.8%$24.70 billion$8.11 billion31.69Analyst Revision
Heavy News Reporting
CIADY
China Mengniu Dairy
0.8$61.80+0.1%$24.39 billion$11.44 billion40.66
Swire Pacific logo
SWRAY
Swire Pacific
1.6$6.24+0.6%$24.18 billion$10.93 billion2.48
Compagnie Générale des Établissements Michelin Société en commandite par actions logo
MGDDY
Compagnie Générale des Établissements Michelin Société en commandite par actions
1.5$26.19+1.8%$23.63 billion$27.03 billion12.07
Sampo Oyj logo
SAXPY
Sampo Oyj
0.8$21.10+1.3%$23.38 billion$12.62 billion16.48
SGS logo
SGSOY
SGS
1.2$30.37+0.6%$23.10 billion$6.64 billion34.12
Ashtead Group logo
ASHTY
Ashtead Group
1.2$202.85+0.7%$22.79 billion$5.84 billion28.02Upcoming Earnings
SMNNY
Shimano
0.5$24.07+2.2%$22.11 billion$3.33 billion41.84
UniCredit logo
UNCFF
UniCredit
1.2$9.55+2.1%$21.84 billion$25.52 billion9.95
BAE Systems logo
BAESY
BAE Systems
1.3$27.12+2.1%$21.82 billion$22.52 billion13.29Heavy News Reporting
Eisai logo
ESALY
Eisai
1.3$74.89+1.3%$21.76 billion$6.40 billion19.35Decrease in Short Interest
SOMLY
Secom
1.3$23.60+1.9%$21.54 billion$9.75 billion28.78Decrease in Short Interest
CHCJY
China CITIC Bank
0.9$8.59+0.0%$21.02 billion$47.62 billion0.00
OMRNY
OMRON
1.0$93.27+3.6%$19.42 billion$6.24 billion0.00Analyst Revision
FRRVY
Ferrovial
0.5$24.79+3.6%$18.78 billion$6.78 billion0.00
DWHHF
Deutsche Wohnen
0.8$51.20+1.0%$18.42 billion$937.88 million14.97
SGTZY
Surgutneftegas Public Joint Stock
0.1$4.95+1.9%$18.02 billion$28.13 billion0.00
Sino Biopharmaceutical logo
SBMFF
Sino Biopharmaceutical
0.8$0.96+1.6%$17.37 billion$3.51 billion0.00Decrease in Short Interest
bioMérieux logo
BMXMF
bioMérieux
0.5$140.26+0.0%$16.60 billion$3.00 billion54.36
Eurofins Scientific logo
ERFSF
Eurofins Scientific
0.9$90.03+1.1%$16.02 billion$5.19 billion39.83Decrease in Short Interest
Carrefour logo
CRRFY
Carrefour
1.1$3.86+6.5%$15.78 billion$81.09 billion14.85
TEZNY
Terna - Rete Elettrica Nazionale Società per Azioni
0.6$21.90+1.1%$14.91 billionN/A0.00
NNGRY
NN Group
1.0$22.18+0.2%$14.65 billion$22.92 billion6.89
Nitto Denko logo
NDEKY
Nitto Denko
1.1$44.37+3.6%$14.49 billion$6.82 billion31.92
OMV Aktiengesellschaft logo
OMVJF
OMV Aktiengesellschaft
1.0$43.63+0.0%$14.25 billion$26.28 billion-44.07
Edenred logo
EDNMY
Edenred
0.4$28.21+1.6%$13.98 billion$1.82 billion0.00High Trading Volume
Decrease in Short Interest
Kumba Iron Ore logo
KIROY
Kumba Iron Ore
0.8$14.24+2.3%$13.78 billion$4.45 billion0.00Increase in Short Interest
Heavy News Reporting
Schroders logo
SHNWF
Schroders
0.9$47.95+5.0%$13.55 billion$3.24 billion18.95Increase in Short Interest
ATASY
Atlantia
0.6$8.19+2.1%$13.53 billion$14.13 billion91.00Increase in Short Interest
MonotaRO logo
MONOY
MonotaRO
1.1$51.06+3.7%$13.50 billion$1.21 billion113.47Decrease in Short Interest
Rakuten logo
RKUNY
Rakuten
0.6$9.60+1.6%$13.43 billion$11.60 billion-15.74Upcoming Earnings
DSCSY
Disco
1.1$73.00+0.2%$13.31 billion$1.30 billion45.63
COSCO SHIPPING logo
CICOY
COSCO SHIPPING
0.8$6.48+0.4%$13.23 billion$21.78 billion80.94Analyst Upgrade
SEGRO logo
SEGXF
SEGRO
0.5$13.19+0.0%$13.23 billion$552.27 million0.00Analyst Report
Halma logo
HLMAF
Halma
0.7$35.40+0.1%$13.20 billion$1.70 billion48.49Analyst Downgrade
Increase in Short Interest
AJINY
Ajinomoto
0.5$23.63+1.1%$12.98 billion$10.12 billion0.00
Smurfit Kappa Group logo
SMFKY
Smurfit Kappa Group
1.5$48.73+3.8%$12.85 billion$10.13 billion15.98
Renault logo
RNLSY
Renault
0.7$8.15+4.8%$12.85 billion$62.21 billion-67.92
HRELY
Haier Electronics Group
0.7$44.88+0.0%$12.64 billion$10.98 billion21.27
BVRDF
Bureau Veritas
0.9$28.21+4.4%$12.60 billion$5.71 billion24.74
ZTE logo
ZTCOY
ZTE
1.4$5.46+4.0%$12.59 billion$13.00 billion16.06
COVTY
Covestro
1.3$32.52+2.8%$12.56 billion$13.90 billion55.11
Brenntag logo
BNTGY
Brenntag
1.0$16.13+1.8%$12.46 billion$14.36 billion23.72Decrease in Short Interest
Chow Tai Fook Jewellery Group logo
CJEWY
Chow Tai Fook Jewellery Group
1.3$12.44+4.4%$12.44 billion$7.26 billion33.62
Croda International logo
COIHY
Croda International
1.0$44.32+1.9%$12.37 billion$1.76 billion37.56
This page was last updated on 1/18/2021 by MarketBeat.com Staff

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