Stockpicker Comparison Tool
Nothing here is comparable yet for these companies.
Revenue Growth
CSMYF
11.72%
▲ 0.49%
RADLY
4.45%
▼ -0.70%
Gross Margin
CSMYF
20.66%
▼ -0.23%
RADLY
28.61%
▼ -3.50%
Free Cash Flow
CSMYF
-$73.61M
▼ -$73.61M
RADLY
$105.70M
▲ $8.93M
Net Debt / EBITDA
CSMYF
0.25
▼ -0.05
RADLY
1.63
▼ -0.10
Operating Margin
CSMYF
3.57%
▼ -0.58%
RADLY
7.82%
▲ 1.65%
P/E Ratio
CSMYF
14.67
▼ -0.23
RADLY
21.74
▼ -10.31