Gold Royalty Corp.
Gold Royalty Corp. (GROY) Stock Competitors & Peer Comparison
See (GROY) competitors and their performances in Stock Market.
Peer Comparison Table: Other Precious Metals Industry
Detailed financial metrics including price, market cap, P/E ratio, and more.
| Symbol | Price | Change % | Market Cap | P/E Ratio | EPS | Dividend Yield |
|---|---|---|---|---|---|---|
| GROY | $4.22 | -1.86% | 715.5M | -105.12 | -$0.04 | N/A |
| BVN | $37.51 | +1.30% | 9.5B | 20.98 | $1.79 | +1.17% |
| TFPM | $38.97 | +0.65% | 8B | 33.01 | $1.18 | +0.59% |
| AUGO | $80.72 | +0.15% | 6.7B | -79.98 | -$1.01 | +1.53% |
| ALM | $19.70 | +5.24% | 5.1B | -82.10 | -$0.24 | N/A |
| PPTA | $32.81 | +1.96% | 4B | -61.91 | -$0.53 | N/A |
| ARIS | $19.32 | -0.05% | 3.9B | 71.52 | $0.27 | +2.23% |
| ELVR | $51.33 | -2.17% | 3.9B | -3.09 | -$16.60 | N/A |
| FSM | $11.63 | +0.95% | 3.6B | 13.67 | $0.85 | N/A |
| FRGOX | $46.58 | -0.58% | 3.4B | 22.47 | $2.08 | N/A |
Stock Comparison
GROY vs BVN Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, BVN has a market cap of 9.5B. Regarding current trading prices, GROY is priced at $4.22, while BVN trades at $37.51.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas BVN's P/E ratio is 20.98. In terms of profitability, GROY's ROE is -0.01%, compared to BVN's ROE of +0.21%. Regarding short-term risk, GROY is less volatile compared to BVN. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check BVN's competition here
GROY vs TFPM Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, TFPM has a market cap of 8B. Regarding current trading prices, GROY is priced at $4.22, while TFPM trades at $38.97.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas TFPM's P/E ratio is 33.01. In terms of profitability, GROY's ROE is -0.01%, compared to TFPM's ROE of +0.13%. Regarding short-term risk, GROY is less volatile compared to TFPM. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check TFPM's competition here
GROY vs AUGO Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, AUGO has a market cap of 6.7B. Regarding current trading prices, GROY is priced at $4.22, while AUGO trades at $80.72.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas AUGO's P/E ratio is -79.98. In terms of profitability, GROY's ROE is -0.01%, compared to AUGO's ROE of -0.37%. Regarding short-term risk, GROY is less volatile compared to AUGO. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check AUGO's competition here
GROY vs ALM Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, ALM has a market cap of 5.1B. Regarding current trading prices, GROY is priced at $4.22, while ALM trades at $19.70.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas ALM's P/E ratio is -82.10. In terms of profitability, GROY's ROE is -0.01%, compared to ALM's ROE of +0.00%. Regarding short-term risk, GROY is less volatile compared to ALM. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check ALM's competition here
GROY vs PPTA Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, PPTA has a market cap of 4B. Regarding current trading prices, GROY is priced at $4.22, while PPTA trades at $32.81.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas PPTA's P/E ratio is -61.91. In terms of profitability, GROY's ROE is -0.01%, compared to PPTA's ROE of -0.14%. Regarding short-term risk, GROY is less volatile compared to PPTA. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check PPTA's competition here
GROY vs ARIS Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, ARIS has a market cap of 3.9B. Regarding current trading prices, GROY is priced at $4.22, while ARIS trades at $19.32.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas ARIS's P/E ratio is 71.52. In terms of profitability, GROY's ROE is -0.01%, compared to ARIS's ROE of +0.05%. Regarding short-term risk, GROY is less volatile compared to ARIS. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check ARIS's competition here
GROY vs ELVR Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, ELVR has a market cap of 3.9B. Regarding current trading prices, GROY is priced at $4.22, while ELVR trades at $51.33.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas ELVR's P/E ratio is -3.09. In terms of profitability, GROY's ROE is -0.01%, compared to ELVR's ROE of -0.54%. Regarding short-term risk, GROY is less volatile compared to ELVR. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check ELVR's competition here
GROY vs FSM Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, FSM has a market cap of 3.6B. Regarding current trading prices, GROY is priced at $4.22, while FSM trades at $11.63.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas FSM's P/E ratio is 13.67. In terms of profitability, GROY's ROE is -0.01%, compared to FSM's ROE of +0.18%. Regarding short-term risk, GROY is less volatile compared to FSM. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check FSM's competition here
GROY vs FRGOX Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, FRGOX has a market cap of 3.4B. Regarding current trading prices, GROY is priced at $4.22, while FRGOX trades at $46.58.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas FRGOX's P/E ratio is 22.47. In terms of profitability, GROY's ROE is -0.01%, compared to FRGOX's ROE of N/A. Regarding short-term risk, GROY is more volatile compared to FRGOX. This indicates potentially higher risk in terms of short-term price fluctuations for GROY.Check FRGOX's competition here
GROY vs EXK Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, EXK has a market cap of 3.3B. Regarding current trading prices, GROY is priced at $4.22, while EXK trades at $11.26.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas EXK's P/E ratio is -26.83. In terms of profitability, GROY's ROE is -0.01%, compared to EXK's ROE of -0.23%. Regarding short-term risk, GROY is less volatile compared to EXK. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check EXK's competition here
GROY vs SILV Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, SILV has a market cap of 1.7B. Regarding current trading prices, GROY is priced at $4.22, while SILV trades at $11.55.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas SILV's P/E ratio is 19.91. In terms of profitability, GROY's ROE is -0.01%, compared to SILV's ROE of +0.34%. Regarding short-term risk, GROY is more volatile compared to SILV. This indicates potentially higher risk in terms of short-term price fluctuations for GROY.Check SILV's competition here
GROY vs CNL Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, CNL has a market cap of 1.6B. Regarding current trading prices, GROY is priced at $4.22, while CNL trades at $17.18.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas CNL's P/E ratio is -33.41. In terms of profitability, GROY's ROE is -0.01%, compared to CNL's ROE of -0.74%. Regarding short-term risk, GROY is less volatile compared to CNL. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check CNL's competition here
GROY vs SLSR Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, SLSR has a market cap of 1.5B. Regarding current trading prices, GROY is priced at $4.22, while SLSR trades at $9.23.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas SLSR's P/E ratio is -25.64. In terms of profitability, GROY's ROE is -0.01%, compared to SLSR's ROE of +1.74%. Regarding short-term risk, GROY is less volatile compared to SLSR. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check SLSR's competition here
GROY vs ELE Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, ELE has a market cap of 1.5B. Regarding current trading prices, GROY is priced at $4.22, while ELE trades at $23.13.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas ELE's P/E ratio is 115.65. In terms of profitability, GROY's ROE is -0.01%, compared to ELE's ROE of +0.03%. Regarding short-term risk, GROY is less volatile compared to ELE. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check ELE's competition here
GROY vs MUX Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, MUX has a market cap of 1.5B. Regarding current trading prices, GROY is priced at $4.22, while MUX trades at $24.50.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas MUX's P/E ratio is -106.52. In terms of profitability, GROY's ROE is -0.01%, compared to MUX's ROE of -0.02%. Regarding short-term risk, GROY is less volatile compared to MUX. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check MUX's competition here
GROY vs ASM Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, ASM has a market cap of 1.2B. Regarding current trading prices, GROY is priced at $4.22, while ASM trades at $7.78.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas ASM's P/E ratio is 55.68. In terms of profitability, GROY's ROE is -0.01%, compared to ASM's ROE of +0.15%. Regarding short-term risk, GROY is less volatile compared to ASM. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check ASM's competition here
GROY vs GATO Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, GATO has a market cap of 1B. Regarding current trading prices, GROY is priced at $4.22, while GATO trades at $14.40.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas GATO's P/E ratio is 30.64. In terms of profitability, GROY's ROE is -0.01%, compared to GATO's ROE of +0.04%. Regarding short-term risk, GROY is less volatile compared to GATO. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check GATO's competition here
GROY vs SCZM Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, SCZM has a market cap of 924.1M. Regarding current trading prices, GROY is priced at $4.22, while SCZM trades at $10.10.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas SCZM's P/E ratio is 15.78. In terms of profitability, GROY's ROE is -0.01%, compared to SCZM's ROE of +0.49%. Regarding short-term risk, GROY is less volatile compared to SCZM. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check SCZM's competition here
GROY vs NEWP Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, NEWP has a market cap of 846.5M. Regarding current trading prices, GROY is priced at $4.22, while NEWP trades at $4.62.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas NEWP's P/E ratio is -230.00. In terms of profitability, GROY's ROE is -0.01%, compared to NEWP's ROE of -0.03%. Regarding short-term risk, GROY is less volatile compared to NEWP. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check NEWP's competition here
GROY vs MTA Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, MTA has a market cap of 770.1M. Regarding current trading prices, GROY is priced at $4.22, while MTA trades at $8.33.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas MTA's P/E ratio is -277.33. In terms of profitability, GROY's ROE is -0.01%, compared to MTA's ROE of -0.01%. Regarding short-term risk, GROY is less volatile compared to MTA. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check MTA's competition here
GROY vs MMX Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, MMX has a market cap of 741.6M. Regarding current trading prices, GROY is priced at $4.22, while MMX trades at $5.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas MMX's P/E ratio is 29.24. In terms of profitability, GROY's ROE is -0.01%, compared to MMX's ROE of +0.07%. Regarding short-term risk, GROY is more volatile compared to MMX. This indicates potentially higher risk in terms of short-term price fluctuations for GROY.Check MMX's competition here
GROY vs ITRG Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, ITRG has a market cap of 607.8M. Regarding current trading prices, GROY is priced at $4.22, while ITRG trades at $3.59.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas ITRG's P/E ratio is 23.93. In terms of profitability, GROY's ROE is -0.01%, compared to ITRG's ROE of +0.10%. Regarding short-term risk, GROY is less volatile compared to ITRG. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check ITRG's competition here
GROY vs NSR Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, NSR has a market cap of 477M. Regarding current trading prices, GROY is priced at $4.22, while NSR trades at $7.76.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas NSR's P/E ratio is 776.00. In terms of profitability, GROY's ROE is -0.01%, compared to NSR's ROE of -0.01%. Regarding short-term risk, GROY is less volatile compared to NSR. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check NSR's competition here
GROY vs GROY-WT Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, GROY-WT has a market cap of 360.8M. Regarding current trading prices, GROY is priced at $4.22, while GROY-WT trades at $2.17.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas GROY-WT's P/E ratio is N/A. In terms of profitability, GROY's ROE is -0.01%, compared to GROY-WT's ROE of -0.01%. Regarding short-term risk, GROY is less volatile compared to GROY-WT. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check GROY-WT's competition here
GROY vs VOXR Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, VOXR has a market cap of 305.7M. Regarding current trading prices, GROY is priced at $4.22, while VOXR trades at $6.01.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas VOXR's P/E ratio is -200.33. In terms of profitability, GROY's ROE is -0.01%, compared to VOXR's ROE of -0.03%. Regarding short-term risk, GROY is less volatile compared to VOXR. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check VOXR's competition here
GROY vs PLG Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, PLG has a market cap of 287.5M. Regarding current trading prices, GROY is priced at $4.22, while PLG trades at $2.33.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas PLG's P/E ratio is -58.25. In terms of profitability, GROY's ROE is -0.01%, compared to PLG's ROE of -0.14%. Regarding short-term risk, GROY is less volatile compared to PLG. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check PLG's competition here
GROY vs NVA Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, NVA has a market cap of 114.7M. Regarding current trading prices, GROY is priced at $4.22, while NVA trades at $6.69.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas NVA's P/E ratio is -20.91. In terms of profitability, GROY's ROE is -0.01%, compared to NVA's ROE of -0.10%. Regarding short-term risk, GROY is less volatile compared to NVA. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check NVA's competition here
GROY vs ATLX Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, ATLX has a market cap of 91.8M. Regarding current trading prices, GROY is priced at $4.22, while ATLX trades at $4.99.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas ATLX's P/E ratio is -2.61. In terms of profitability, GROY's ROE is -0.01%, compared to ATLX's ROE of -0.83%. Regarding short-term risk, GROY is less volatile compared to ATLX. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check ATLX's competition here
GROY vs NEXM Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, NEXM has a market cap of 72.3M. Regarding current trading prices, GROY is priced at $4.22, while NEXM trades at $3.36.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas NEXM's P/E ratio is -1.23. In terms of profitability, GROY's ROE is -0.01%, compared to NEXM's ROE of -2.55%. Regarding short-term risk, GROY is less volatile compared to NEXM. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check NEXM's competition here
GROY vs ALOY Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, ALOY has a market cap of 70M. Regarding current trading prices, GROY is priced at $4.22, while ALOY trades at $15.63.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas ALOY's P/E ratio is N/A. In terms of profitability, GROY's ROE is -0.01%, compared to ALOY's ROE of -0.95%. Regarding short-term risk, GROY is less volatile compared to ALOY. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check ALOY's competition here
GROY vs AUMN Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, AUMN has a market cap of 4.3M. Regarding current trading prices, GROY is priced at $4.22, while AUMN trades at $0.28.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas AUMN's P/E ratio is -1.36. In terms of profitability, GROY's ROE is -0.01%, compared to AUMN's ROE of +0.97%. Regarding short-term risk, GROY is less volatile compared to AUMN. This indicates potentially lower risk in terms of short-term price fluctuations for GROY.Check AUMN's competition here
GROY vs HDLS Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, HDLS has a market cap of 0. Regarding current trading prices, GROY is priced at $4.22, while HDLS trades at $25.68.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas HDLS's P/E ratio is N/A. In terms of profitability, GROY's ROE is -0.01%, compared to HDLS's ROE of +0.00%. Regarding short-term risk, GROY is more volatile compared to HDLS. This indicates potentially higher risk in terms of short-term price fluctuations for GROY.Check HDLS's competition here
GROY vs TRQ Comparison March 2026
GROY plays a significant role within the Basic Materials sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, GROY stands at 715.5M. In comparison, TRQ has a market cap of 0. Regarding current trading prices, GROY is priced at $4.22, while TRQ trades at $31.41.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
GROY currently has a P/E ratio of -105.12, whereas TRQ's P/E ratio is 11.90. In terms of profitability, GROY's ROE is -0.01%, compared to TRQ's ROE of +0.07%. Regarding short-term risk, GROY is more volatile compared to TRQ. This indicates potentially higher risk in terms of short-term price fluctuations for GROY.Check TRQ's competition here