Stockpicker Comparison Tool
Nothing here is comparable yet for these companies.
Revenue Growth
CHALF
29.31%
▲ 3.71%
TKPHF
10.23%
▲ 5.67%
Gross Margin
CHALF
45.32%
▲ 0.15%
TKPHF
66.66%
▲ 17.88%
Free Cash Flow
CHALF
-$1.07M
▲ $864.07K
TKPHF
$463.04M
▲ $501.51M
Net Debt / EBITDA
CHALF
-11.22
▼ -6.90
TKPHF
3.36
▲ 0.31
Operating Margin
CHALF
-6.70%
▼ -0.47%
TKPHF
16.51%
▲ 12.25%
P/E Ratio
CHALF
—
TKPHF
48.74
▲ 7.06