Stockpicker Comparison Tool
Nothing here is comparable yet for these companies.
Revenue Growth
CTXXF
76.29%
▲ 66.16%
SHERF
35.76%
▲ 47.22%
Gross Margin
CTXXF
34.30%
▲ 26.54%
SHERF
-34.40%
▼ -40.28%
Free Cash Flow
CTXXF
$969.42K
▼ -$3.29M
SHERF
$38.82M
▲ $52.12M
Net Debt / EBITDA
CTXXF
-1.48
▲ 0.57
SHERF
-3.24
▼ -18.11
Operating Margin
CTXXF
22.59%
▲ 43.97%
SHERF
-56.16%
▼ -41.45%
P/E Ratio
CTXXF
22.28
▲ 2.70
SHERF
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