Stockpicker Comparison Tool
Nothing here is comparable yet for these companies.
Revenue Growth
TAK
0.72%
▼ -14.45%
CAH
6.15%
▼ -4.90%
Gross Margin
TAK
66.66%
▲ 17.88%
CAH
4.30%
▲ 0.20%
Free Cash Flow
TAK
$463.04M
▲ $398.43M
CAH
$1.43B
▼ -$249.00M
Net Debt / EBITDA
TAK
3.48
▲ 0.06
CAH
1.46
▼ -0.18
Operating Margin
TAK
16.51%
▲ 12.25%
CAH
1.14%
▲ 0.31%
P/E Ratio
TAK
47.73
▲ 1.25
CAH
33.08
▲ 4.01