Stockpicker Comparison Tool
Nothing here is comparable yet for these companies.
Revenue Growth
PITAF
3.41%
▼ -21.16%
HALMY
24.11%
▼ -5.71%
Gross Margin
PITAF
33.04%
▲ 4.79%
HALMY
3.92%
▲ 3.92%
Free Cash Flow
PITAF
$583.55M
▼ -$786.67M
HALMY
$338.86M
▲ $136.01M
Net Debt / EBITDA
PITAF
13.01
▼ -0.94
HALMY
0.77
▲ 0.08
Operating Margin
PITAF
24.80%
▲ 4.04%
HALMY
19.99%
▼ -0.78%
P/E Ratio
PITAF
10.92
▼ -1.68
HALMY
25.19
▲ 1.07