Stockpicker Comparison Tool
Nothing here is comparable yet for these companies.
Revenue Growth
KLAR
26.61%
▼ -24.66%
SAIL
16.82%
▼ -4.74%
Gross Margin
KLAR
60.08%
▼ -13.64%
SAIL
58.98%
▼ -5.67%
Free Cash Flow
KLAR
-$261.00M
▲ $699.00M
SAIL
$32.52M
▼ -$24.93M
Net Debt / EBITDA
KLAR
-4.40
▲ 3.79
SAIL
5.75
▲ 36.35
Operating Margin
KLAR
2.59%
▼ -15.99%
SAIL
-17.72%
▲ 10.77%
P/E Ratio
KLAR
—
SAIL
—