Stockpicker Comparison Tool
Nothing here is comparable yet for these companies.
Revenue Growth
CALX
21.27%
▼ -5.86%
VIA
26.67%
▲ 2.81%
Gross Margin
CALX
54.59%
▼ -2.31%
VIA
40.98%
▲ 2.34%
Free Cash Flow
CALX
$11.93M
▲ $5.42M
VIA
-$13.05M
▲ $10.43M
Net Debt / EBITDA
CALX
-2.03
▲ 1.22
VIA
3.74
▼ -0.17
Operating Margin
CALX
7.45%
▲ 2.91%
VIA
-16.03%
▲ 2.18%
P/E Ratio
CALX
46.49
▼ -36.08
VIA
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