Stockpicker Comparison Tool
Nothing here is comparable yet for these companies.
Revenue Growth
CEVIY
766.82%
▲ 880.08%
DAHSF
157.92%
▲ 183.47%
Gross Margin
CEVIY
98.26%
▲ 556.03%
DAHSF
64.36%
▲ 17.94%
Free Cash Flow
CEVIY
$0.00
▼ -$508.48M
DAHSF
$195.55M
▼ -$1.70B
Net Debt / EBITDA
CEVIY
-27.22
▲ 2.70
DAHSF
0.26
▲ 2.44
Operating Margin
CEVIY
87.63%
▼ -705.26%
DAHSF
30.23%
▲ 12.38%
P/E Ratio
CEVIY
34.24
▲ 32.42
DAHSF
1.85
▼ -0.38