Stockpicker Comparison Tool
Nothing here is comparable yet for these companies.
Revenue Growth
SAUHF
7.74%
▲ 2.51%
TFX
-26.96%
▼ -5.21%
Gross Margin
SAUHF
71.37%
▲ 6.93%
TFX
58.16%
▲ 2.09%
Free Cash Flow
SAUHF
$229.56M
▼ -$21.63M
TFX
$114.73M
▲ $68.06M
Net Debt / EBITDA
SAUHF
0.07
▼ -0.05
TFX
-10.81
▲ 16.05
Operating Margin
SAUHF
24.82%
▲ 7.89%
TFX
10.56%
▲ 6.88%
P/E Ratio
SAUHF
17.68
▼ -2.80
TFX
28.50
▼ -10.07