Stockpicker Comparison Tool
Nothing here is comparable yet for these companies.
Revenue Growth
CLAR
1.65%
▼ -0.85%
CAAS
17.01%
▼ -6.41%
Gross Margin
CLAR
48.92%
▲ 12.17%
CAAS
21.46%
Free Cash Flow
CLAR
$636.00K
▲ $6.33M
CAAS
$8.69M
▼ -$65.75M
Net Debt / EBITDA
CLAR
0.40
▼ -0.04
CAAS
-0.27
▲ 0.02
Operating Margin
CLAR
8.12%
▲ 17.92%
CAAS
10.50%
P/E Ratio
CLAR
37.60
▲ 4.80
CAAS
2.62
▼ -0.16