MonotaRO Co., Ltd.
MonotaRO Co., Ltd. MONOY Peers
See (MONOY) competitors and their performances in Stock Market.
Peer Comparison Table: Specialty Retail Industry
Detailed financial metrics including price, market cap, P/E ratio, and more.
Symbol | Price | Change % | Market Cap | P/E Ratio | EPS | Dividend Yield |
---|---|---|---|---|---|---|
MONOY | $20.65 | +1.92% | 10.3B | 52.95 | $0.39 | +0.00% |
GLHD | $3.40 | +3399900.10% | 1.3T | 680.00 | $0.01 | N/A |
BABAF | $14.52 | -2.45% | 278.1B | 15.61 | $0.93 | +1.43% |
MPNGY | $34.66 | -1.53% | 107.1B | 22.08 | $1.57 | N/A |
MPNGF | $17.00 | +3.03% | 103.9B | 21.52 | $0.79 | N/A |
ANCTF | $52.56 | +0.58% | 49.8B | 19.32 | $2.72 | +1.01% |
JDCMF | $17.25 | -1.43% | 44.6B | 8.41 | $2.05 | +2.90% |
YAHOY | $7.15 | -1.19% | 25.9B | 24.66 | $0.29 | N/A |
RKUNF | $5.98 | +8.53% | 12.9B | -9.49 | -$0.63 | N/A |
RKUNY | $5.47 | -0.18% | 11.8B | -8.68 | -$0.63 | N/A |
Stock Comparison
MONOY vs GLHD Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, GLHD has a market cap of 1.3T. Regarding current trading prices, MONOY is priced at $20.65, while GLHD trades at $3.40.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas GLHD's P/E ratio is 680.00. In terms of profitability, MONOY's ROE is +0.27%, compared to GLHD's ROE of N/A. Regarding short-term risk, MONOY is less volatile compared to GLHD. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs BABAF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, BABAF has a market cap of 278.1B. Regarding current trading prices, MONOY is priced at $20.65, while BABAF trades at $14.52.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas BABAF's P/E ratio is 15.61. In terms of profitability, MONOY's ROE is +0.27%, compared to BABAF's ROE of +0.12%. Regarding short-term risk, MONOY is less volatile compared to BABAF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs MPNGY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, MPNGY has a market cap of 107.1B. Regarding current trading prices, MONOY is priced at $20.65, while MPNGY trades at $34.66.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas MPNGY's P/E ratio is 22.08. In terms of profitability, MONOY's ROE is +0.27%, compared to MPNGY's ROE of +0.10%. Regarding short-term risk, MONOY is less volatile compared to MPNGY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs MPNGF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, MPNGF has a market cap of 103.9B. Regarding current trading prices, MONOY is priced at $20.65, while MPNGF trades at $17.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas MPNGF's P/E ratio is 21.52. In terms of profitability, MONOY's ROE is +0.27%, compared to MPNGF's ROE of +0.10%. Regarding short-term risk, MONOY is less volatile compared to MPNGF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs ANCTF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ANCTF has a market cap of 49.8B. Regarding current trading prices, MONOY is priced at $20.65, while ANCTF trades at $52.56.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ANCTF's P/E ratio is 19.32. In terms of profitability, MONOY's ROE is +0.27%, compared to ANCTF's ROE of +0.19%. Regarding short-term risk, MONOY is more volatile compared to ANCTF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs JDCMF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, JDCMF has a market cap of 44.6B. Regarding current trading prices, MONOY is priced at $20.65, while JDCMF trades at $17.25.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas JDCMF's P/E ratio is 8.41. In terms of profitability, MONOY's ROE is +0.27%, compared to JDCMF's ROE of +0.18%. Regarding short-term risk, MONOY is more volatile compared to JDCMF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs YAHOY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, YAHOY has a market cap of 25.9B. Regarding current trading prices, MONOY is priced at $20.65, while YAHOY trades at $7.15.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas YAHOY's P/E ratio is 24.66. In terms of profitability, MONOY's ROE is +0.27%, compared to YAHOY's ROE of +0.02%. Regarding short-term risk, MONOY is more volatile compared to YAHOY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs RKUNF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, RKUNF has a market cap of 12.9B. Regarding current trading prices, MONOY is priced at $20.65, while RKUNF trades at $5.98.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas RKUNF's P/E ratio is -9.49. In terms of profitability, MONOY's ROE is +0.27%, compared to RKUNF's ROE of -0.24%. Regarding short-term risk, MONOY is less volatile compared to RKUNF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs RKUNY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, RKUNY has a market cap of 11.8B. Regarding current trading prices, MONOY is priced at $20.65, while RKUNY trades at $5.47.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas RKUNY's P/E ratio is -8.68. In terms of profitability, MONOY's ROE is +0.27%, compared to RKUNY's ROE of -0.19%. Regarding short-term risk, MONOY is less volatile compared to RKUNY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs SNROF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, SNROF has a market cap of 11.3B. Regarding current trading prices, MONOY is priced at $20.65, while SNROF trades at $47.50.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas SNROF's P/E ratio is 40.25. In terms of profitability, MONOY's ROE is +0.27%, compared to SNROF's ROE of +0.25%. Regarding short-term risk, MONOY is less volatile compared to SNROF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs NCLTY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, NCLTY has a market cap of 11.2B. Regarding current trading prices, MONOY is priced at $20.65, while NCLTY trades at $9.94.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas NCLTY's P/E ratio is 20.70. In terms of profitability, MONOY's ROE is +0.27%, compared to NCLTY's ROE of +0.08%. Regarding short-term risk, MONOY is less volatile compared to NCLTY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs NCLTF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, NCLTF has a market cap of 11.1B. Regarding current trading prices, MONOY is priced at $20.65, while NCLTF trades at $97.93.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas NCLTF's P/E ratio is 20.53. In terms of profitability, MONOY's ROE is +0.27%, compared to NCLTF's ROE of +0.08%. Regarding short-term risk, MONOY is less volatile compared to NCLTF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs SRTTY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, SRTTY has a market cap of 10.3B. Regarding current trading prices, MONOY is priced at $20.65, while SRTTY trades at $10.74.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas SRTTY's P/E ratio is 30.69. In terms of profitability, MONOY's ROE is +0.27%, compared to SRTTY's ROE of +0.56%. Regarding short-term risk, MONOY is less volatile compared to SRTTY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs SATLF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, SATLF has a market cap of 9.7B. Regarding current trading prices, MONOY is priced at $20.65, while SATLF trades at $11.05.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas SATLF's P/E ratio is 30.69. In terms of profitability, MONOY's ROE is +0.27%, compared to SATLF's ROE of +0.44%. Regarding short-term risk, MONOY is more volatile compared to SATLF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs ZLNDY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ZLNDY has a market cap of 9.2B. Regarding current trading prices, MONOY is priced at $20.65, while ZLNDY trades at $17.82.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ZLNDY's P/E ratio is 30.19. In terms of profitability, MONOY's ROE is +0.27%, compared to ZLNDY's ROE of +0.10%. Regarding short-term risk, MONOY is more volatile compared to ZLNDY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs HKTGF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, HKTGF has a market cap of 9.1B. Regarding current trading prices, MONOY is priced at $20.65, while HKTGF trades at $207.36.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas HKTGF's P/E ratio is 8.68. In terms of profitability, MONOY's ROE is +0.27%, compared to HKTGF's ROE of +0.14%. Regarding short-term risk, MONOY is more volatile compared to HKTGF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs DLVHF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, DLVHF has a market cap of 8.5B. Regarding current trading prices, MONOY is priced at $20.65, while DLVHF trades at $28.88.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas DLVHF's P/E ratio is -3.04. In terms of profitability, MONOY's ROE is +0.27%, compared to DLVHF's ROE of -0.53%. Regarding short-term risk, MONOY is less volatile compared to DLVHF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs ZLDSF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ZLDSF has a market cap of 8.4B. Regarding current trading prices, MONOY is priced at $20.65, while ZLDSF trades at $32.55.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ZLDSF's P/E ratio is 27.82. In terms of profitability, MONOY's ROE is +0.27%, compared to ZLDSF's ROE of +0.10%. Regarding short-term risk, MONOY is less volatile compared to ZLDSF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs DFRYF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, DFRYF has a market cap of 8.1B. Regarding current trading prices, MONOY is priced at $20.65, while DFRYF trades at $55.88.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas DFRYF's P/E ratio is 67.33. In terms of profitability, MONOY's ROE is +0.27%, compared to DFRYF's ROE of +0.03%. Regarding short-term risk, MONOY is more volatile compared to DFRYF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs DELHY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, DELHY has a market cap of 8B. Regarding current trading prices, MONOY is priced at $20.65, while DELHY trades at $2.72.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas DELHY's P/E ratio is -2.86. In terms of profitability, MONOY's ROE is +0.27%, compared to DELHY's ROE of -1.05%. Regarding short-term risk, MONOY is less volatile compared to DELHY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs DUFRY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, DUFRY has a market cap of 7.7B. Regarding current trading prices, MONOY is priced at $20.65, while DUFRY trades at $5.32.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas DUFRY's P/E ratio is 66.50. In terms of profitability, MONOY's ROE is +0.27%, compared to DUFRY's ROE of +0.05%. Regarding short-term risk, MONOY is less volatile compared to DUFRY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs PETRY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, PETRY has a market cap of 7.5B. Regarding current trading prices, MONOY is priced at $20.65, while PETRY trades at $6.71.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas PETRY's P/E ratio is 3.46. In terms of profitability, MONOY's ROE is +0.27%, compared to PETRY's ROE of +0.32%. Regarding short-term risk, MONOY is less volatile compared to PETRY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs MTTRY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, MTTRY has a market cap of 7.3B. Regarding current trading prices, MONOY is priced at $20.65, while MTTRY trades at $0.60.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas MTTRY's P/E ratio is -30.00. In terms of profitability, MONOY's ROE is +0.27%, compared to MTTRY's ROE of +0.13%. Regarding short-term risk, MONOY is less volatile compared to MTTRY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs CDNAF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, CDNAF has a market cap of 7.1B. Regarding current trading prices, MONOY is priced at $20.65, while CDNAF trades at $126.28.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas CDNAF's P/E ratio is 11.29. In terms of profitability, MONOY's ROE is +0.27%, compared to CDNAF's ROE of +0.14%. Regarding short-term risk, MONOY is more volatile compared to CDNAF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs CDNTF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, CDNTF has a market cap of 7.1B. Regarding current trading prices, MONOY is priced at $20.65, while CDNTF trades at $178.51.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas CDNTF's P/E ratio is 15.95. In terms of profitability, MONOY's ROE is +0.27%, compared to CDNTF's ROE of +0.14%. Regarding short-term risk, MONOY is less volatile compared to CDNTF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs ELPQF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ELPQF has a market cap of 7B. Regarding current trading prices, MONOY is priced at $20.65, while ELPQF trades at $4.93.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ELPQF's P/E ratio is 5.42. In terms of profitability, MONOY's ROE is +0.27%, compared to ELPQF's ROE of +0.14%. Regarding short-term risk, MONOY and ELPQF have similar daily volatility (1.02).
MONOY vs ALEGF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ALEGF has a market cap of 6.3B. Regarding current trading prices, MONOY is priced at $20.65, while ALEGF trades at $6.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ALEGF's P/E ratio is 23.08. In terms of profitability, MONOY's ROE is +0.27%, compared to ALEGF's ROE of +0.11%. Regarding short-term risk, MONOY is less volatile compared to ALEGF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs JDDSF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, JDDSF has a market cap of 6.1B. Regarding current trading prices, MONOY is priced at $20.65, while JDDSF trades at $1.17.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas JDDSF's P/E ratio is 13.00. In terms of profitability, MONOY's ROE is +0.27%, compared to JDDSF's ROE of +0.13%. Regarding short-term risk, MONOY is less volatile compared to JDDSF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs MONOF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, MONOF has a market cap of 5.7B. Regarding current trading prices, MONOY is priced at $20.65, while MONOF trades at $11.50.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas MONOF's P/E ratio is 29.49. In terms of profitability, MONOY's ROE is +0.27%, compared to MONOF's ROE of +0.20%. Regarding short-term risk, MONOY is less volatile compared to MONOF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs JDSPY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, JDSPY has a market cap of 5.6B. Regarding current trading prices, MONOY is priced at $20.65, while JDSPY trades at $1.09.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas JDSPY's P/E ratio is 8.38. In terms of profitability, MONOY's ROE is +0.27%, compared to JDSPY's ROE of +0.13%. Regarding short-term risk, MONOY is less volatile compared to JDSPY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs SAXJY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, SAXJY has a market cap of 4.7B. Regarding current trading prices, MONOY is priced at $20.65, while SAXJY trades at $1.53.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas SAXJY's P/E ratio is 12.75. In terms of profitability, MONOY's ROE is +0.27%, compared to SAXJY's ROE of +0.19%. Regarding short-term risk, MONOY is less volatile compared to SAXJY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs JTKWY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, JTKWY has a market cap of 4.4B. Regarding current trading prices, MONOY is priced at $20.65, while JTKWY trades at $4.37.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas JTKWY's P/E ratio is -7.95. In terms of profitability, MONOY's ROE is +0.27%, compared to JTKWY's ROE of -0.37%. Regarding short-term risk, MONOY is more volatile compared to JTKWY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs TKAYF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, TKAYF has a market cap of 4.3B. Regarding current trading prices, MONOY is priced at $20.65, while TKAYF trades at $22.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas TKAYF's P/E ratio is -8.03. In terms of profitability, MONOY's ROE is +0.27%, compared to TKAYF's ROE of -0.37%. Regarding short-term risk, MONOY is more volatile compared to TKAYF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs JUMSY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, JUMSY has a market cap of 4.2B. Regarding current trading prices, MONOY is priced at $20.65, while JUMSY trades at $31.10.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas JUMSY's P/E ratio is 11.65. In terms of profitability, MONOY's ROE is +0.27%, compared to JUMSY's ROE of +0.22%. Regarding short-term risk, MONOY is less volatile compared to JUMSY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs HNORY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, HNORY has a market cap of 4.2B. Regarding current trading prices, MONOY is priced at $20.65, while HNORY trades at $16.85.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas HNORY's P/E ratio is 15.04. In terms of profitability, MONOY's ROE is +0.27%, compared to HNORY's ROE of +0.08%. Regarding short-term risk, MONOY is more volatile compared to HNORY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs SDIPF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, SDIPF has a market cap of 4B. Regarding current trading prices, MONOY is priced at $20.65, while SDIPF trades at $9.72.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas SDIPF's P/E ratio is 10.12. In terms of profitability, MONOY's ROE is +0.27%, compared to SDIPF's ROE of +0.22%. Regarding short-term risk, MONOY is less volatile compared to SDIPF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs ZLPSF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ZLPSF has a market cap of 3.8B. Regarding current trading prices, MONOY is priced at $20.65, while ZLPSF trades at $536.38.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ZLPSF's P/E ratio is -623.70. In terms of profitability, MONOY's ROE is +0.27%, compared to ZLPSF's ROE of -0.13%. Regarding short-term risk, MONOY is less volatile compared to ZLPSF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs JUMSF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, JUMSF has a market cap of 3.7B. Regarding current trading prices, MONOY is priced at $20.65, while JUMSF trades at $27.50.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas JUMSF's P/E ratio is 11.51. In terms of profitability, MONOY's ROE is +0.27%, compared to JUMSF's ROE of +0.18%. Regarding short-term risk, MONOY is more volatile compared to JUMSF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs CNVAF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, CNVAF has a market cap of 3.7B. Regarding current trading prices, MONOY is priced at $20.65, while CNVAF trades at $10.75.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas CNVAF's P/E ratio is -34.68. In terms of profitability, MONOY's ROE is +0.27%, compared to CNVAF's ROE of +0.13%. Regarding short-term risk, MONOY is less volatile compared to CNVAF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs ZOPLY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ZOPLY has a market cap of 3.5B. Regarding current trading prices, MONOY is priced at $20.65, while ZOPLY trades at $122.65.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ZOPLY's P/E ratio is -210.38. In terms of profitability, MONOY's ROE is +0.27%, compared to ZOPLY's ROE of N/A. Regarding short-term risk, MONOY is more volatile compared to ZOPLY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs DROOF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, DROOF has a market cap of 3.3B. Regarding current trading prices, MONOY is priced at $20.65, while DROOF trades at $2.30.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas DROOF's P/E ratio is 57.50. In terms of profitability, MONOY's ROE is +0.27%, compared to DROOF's ROE of +0.11%. Regarding short-term risk, MONOY is more volatile compared to DROOF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs DNLMY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, DNLMY has a market cap of 3.2B. Regarding current trading prices, MONOY is priced at $20.65, while DNLMY trades at $15.60.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas DNLMY's P/E ratio is 15.45. In terms of profitability, MONOY's ROE is +0.27%, compared to DNLMY's ROE of +0.97%. Regarding short-term risk, MONOY is more volatile compared to DNLMY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs JBHIF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, JBHIF has a market cap of 3.1B. Regarding current trading prices, MONOY is priced at $20.65, while JBHIF trades at $28.25.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas JBHIF's P/E ratio is 10.46. In terms of profitability, MONOY's ROE is +0.27%, compared to JBHIF's ROE of +0.28%. Regarding short-term risk, MONOY is less volatile compared to JBHIF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs MRCIF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, MRCIF has a market cap of 2.8B. Regarding current trading prices, MONOY is priced at $20.65, while MRCIF trades at $17.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas MRCIF's P/E ratio is 25.00. In terms of profitability, MONOY's ROE is +0.27%, compared to MRCIF's ROE of +0.15%. Regarding short-term risk, MONOY is more volatile compared to MRCIF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs MCARY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, MCARY has a market cap of 2.7B. Regarding current trading prices, MONOY is priced at $20.65, while MCARY trades at $8.33.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas MCARY's P/E ratio is 24.50. In terms of profitability, MONOY's ROE is +0.27%, compared to MCARY's ROE of +0.15%. Regarding short-term risk, MONOY is less volatile compared to MCARY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs FHNGY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, FHNGY has a market cap of 2.5B. Regarding current trading prices, MONOY is priced at $20.65, while FHNGY trades at $7.68.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas FHNGY's P/E ratio is 15.06. In terms of profitability, MONOY's ROE is +0.27%, compared to FHNGY's ROE of +0.12%. Regarding short-term risk, MONOY is less volatile compared to FHNGY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs YMDAF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, YMDAF has a market cap of 2.1B. Regarding current trading prices, MONOY is priced at $20.65, while YMDAF trades at $3.10.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas YMDAF's P/E ratio is 11.92. In terms of profitability, MONOY's ROE is +0.27%, compared to YMDAF's ROE of +0.03%. Regarding short-term risk, MONOY is less volatile compared to YMDAF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs DSITF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, DSITF has a market cap of 1.8B. Regarding current trading prices, MONOY is priced at $20.65, while DSITF trades at $1.66.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas DSITF's P/E ratio is 23.67. In terms of profitability, MONOY's ROE is +0.27%, compared to DSITF's ROE of +0.08%. Regarding short-term risk, MONOY is more volatile compared to DSITF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs PAHGF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, PAHGF has a market cap of 1.8B. Regarding current trading prices, MONOY is priced at $20.65, while PAHGF trades at $3.88.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas PAHGF's P/E ratio is 15.52. In terms of profitability, MONOY's ROE is +0.27%, compared to PAHGF's ROE of +0.08%. Regarding short-term risk, MONOY is less volatile compared to PAHGF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs MIZUF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, MIZUF has a market cap of 1.7B. Regarding current trading prices, MONOY is priced at $20.65, while MIZUF trades at $21.38.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas MIZUF's P/E ratio is 5.18. In terms of profitability, MONOY's ROE is +0.27%, compared to MIZUF's ROE of +0.08%. Regarding short-term risk, MONOY is more volatile compared to MIZUF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs MTAGF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, MTAGF has a market cap of 1.6B. Regarding current trading prices, MONOY is priced at $20.65, while MTAGF trades at $3.30.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas MTAGF's P/E ratio is 19.41. In terms of profitability, MONOY's ROE is +0.27%, compared to MTAGF's ROE of +0.13%. Regarding short-term risk, MONOY is more volatile compared to MTAGF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs BTOOY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, BTOOY has a market cap of 1.5B. Regarding current trading prices, MONOY is priced at $20.65, while BTOOY trades at $3.45.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas BTOOY's P/E ratio is -23.63. In terms of profitability, MONOY's ROE is +0.27%, compared to BTOOY's ROE of +0.04%. Regarding short-term risk, MONOY is more volatile compared to BTOOY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs WHTPF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, WHTPF has a market cap of 1.5B. Regarding current trading prices, MONOY is priced at $20.65, while WHTPF trades at $12.04.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas WHTPF's P/E ratio is 200.67. In terms of profitability, MONOY's ROE is +0.27%, compared to WHTPF's ROE of +0.19%. Regarding short-term risk, MONOY is more volatile compared to WHTPF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs GPGNF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, GPGNF has a market cap of 1.4B. Regarding current trading prices, MONOY is priced at $20.65, while GPGNF trades at $1.45.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas GPGNF's P/E ratio is 16.11. In terms of profitability, MONOY's ROE is +0.27%, compared to GPGNF's ROE of +0.50%. Regarding short-term risk, MONOY is more volatile compared to GPGNF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs LEFUF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, LEFUF has a market cap of 1.4B. Regarding current trading prices, MONOY is priced at $20.65, while LEFUF trades at $20.20.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas LEFUF's P/E ratio is 11.95. In terms of profitability, MONOY's ROE is +0.27%, compared to LEFUF's ROE of +0.14%. Regarding short-term risk, MONOY is more volatile compared to LEFUF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs MGLUY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, MGLUY has a market cap of 1.3B. Regarding current trading prices, MONOY is priced at $20.65, while MGLUY trades at $7.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas MGLUY's P/E ratio is 16.67. In terms of profitability, MONOY's ROE is +0.27%, compared to MGLUY's ROE of +0.04%. Regarding short-term risk, MONOY is more volatile compared to MGLUY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs MKRMF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, MKRMF has a market cap of 1B. Regarding current trading prices, MONOY is priced at $20.65, while MKRMF trades at $235.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas MKRMF's P/E ratio is -136.63. In terms of profitability, MONOY's ROE is +0.27%, compared to MKRMF's ROE of N/A. Regarding short-term risk, MONOY is more volatile compared to MKRMF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs GRUPF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, GRUPF has a market cap of 1B. Regarding current trading prices, MONOY is priced at $20.65, while GRUPF trades at $66.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas GRUPF's P/E ratio is 15.90. In terms of profitability, MONOY's ROE is +0.27%, compared to GRUPF's ROE of +0.07%. Regarding short-term risk, MONOY is more volatile compared to GRUPF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs SCCAF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, SCCAF has a market cap of 875M. Regarding current trading prices, MONOY is priced at $20.65, while SCCAF trades at $25.81.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas SCCAF's P/E ratio is 16.76. In terms of profitability, MONOY's ROE is +0.27%, compared to SCCAF's ROE of +0.11%. Regarding short-term risk, MONOY is more volatile compared to SCCAF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs ACEHF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ACEHF has a market cap of 763.6M. Regarding current trading prices, MONOY is priced at $20.65, while ACEHF trades at $0.04.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ACEHF's P/E ratio is N/A. In terms of profitability, MONOY's ROE is +0.27%, compared to ACEHF's ROE of +0.13%. Regarding short-term risk, MONOY is more volatile compared to ACEHF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs FNXTF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, FNXTF has a market cap of 750.4M. Regarding current trading prices, MONOY is priced at $20.65, while FNXTF trades at $56.25.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas FNXTF's P/E ratio is 10.42. In terms of profitability, MONOY's ROE is +0.27%, compared to FNXTF's ROE of +0.02%. Regarding short-term risk, MONOY is more volatile compared to FNXTF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs BHHOF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, BHHOF has a market cap of 605M. Regarding current trading prices, MONOY is priced at $20.65, while BHHOF trades at $0.47.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas BHHOF's P/E ratio is -1.74. In terms of profitability, MONOY's ROE is +0.27%, compared to BHHOF's ROE of -0.41%. Regarding short-term risk, MONOY is less volatile compared to BHHOF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs HWGC Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, HWGC has a market cap of 596.2M. Regarding current trading prices, MONOY is priced at $20.65, while HWGC trades at $3.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas HWGC's P/E ratio is 100.00. In terms of profitability, MONOY's ROE is +0.27%, compared to HWGC's ROE of -0.04%. Regarding short-term risk, MONOY is more volatile compared to HWGC. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs THGHY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, THGHY has a market cap of 591.2M. Regarding current trading prices, MONOY is priced at $20.65, while THGHY trades at $0.43.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas THGHY's P/E ratio is -2.36. In terms of profitability, MONOY's ROE is +0.27%, compared to THGHY's ROE of -0.39%. Regarding short-term risk, MONOY is more volatile compared to THGHY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs ASOMF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ASOMF has a market cap of 584M. Regarding current trading prices, MONOY is priced at $20.65, while ASOMF trades at $4.90.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ASOMF's P/E ratio is -1.46. In terms of profitability, MONOY's ROE is +0.27%, compared to ASOMF's ROE of -0.49%. Regarding short-term risk, MONOY is more volatile compared to ASOMF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs THGPF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, THGPF has a market cap of 535M. Regarding current trading prices, MONOY is priced at $20.65, while THGPF trades at $0.38.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas THGPF's P/E ratio is -2.14. In terms of profitability, MONOY's ROE is +0.27%, compared to THGPF's ROE of -0.48%. Regarding short-term risk, MONOY is more volatile compared to THGPF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs XXLLY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, XXLLY has a market cap of 520.8M. Regarding current trading prices, MONOY is priced at $20.65, while XXLLY trades at $7.39.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas XXLLY's P/E ratio is -1.00. In terms of profitability, MONOY's ROE is +0.27%, compared to XXLLY's ROE of -0.97%. Regarding short-term risk, MONOY is less volatile compared to XXLLY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs ASOMY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ASOMY has a market cap of 494.6M. Regarding current trading prices, MONOY is priced at $20.65, while ASOMY trades at $4.15.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ASOMY's P/E ratio is -1.24. In terms of profitability, MONOY's ROE is +0.27%, compared to ASOMY's ROE of -0.49%. Regarding short-term risk, MONOY is more volatile compared to ASOMY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs HLFDY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, HLFDY has a market cap of 470.7M. Regarding current trading prices, MONOY is priced at $20.65, while HLFDY trades at $4.31.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas HLFDY's P/E ratio is 13.90. In terms of profitability, MONOY's ROE is +0.27%, compared to HLFDY's ROE of +0.03%. Regarding short-term risk, MONOY is more volatile compared to HLFDY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs CRFCF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, CRFCF has a market cap of 412.6M. Regarding current trading prices, MONOY is priced at $20.65, while CRFCF trades at $1.18.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas CRFCF's P/E ratio is 6.21. In terms of profitability, MONOY's ROE is +0.27%, compared to CRFCF's ROE of +0.13%. Regarding short-term risk, MONOY is less volatile compared to CRFCF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs KGGNF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, KGGNF has a market cap of 397.3M. Regarding current trading prices, MONOY is priced at $20.65, while KGGNF trades at $4.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas KGGNF's P/E ratio is 100.00. In terms of profitability, MONOY's ROE is +0.27%, compared to KGGNF's ROE of +0.00%. Regarding short-term risk, MONOY is less volatile compared to KGGNF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs BHOOY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, BHOOY has a market cap of 370.1M. Regarding current trading prices, MONOY is priced at $20.65, while BHOOY trades at $5.75.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas BHOOY's P/E ratio is -1.05. In terms of profitability, MONOY's ROE is +0.27%, compared to BHOOY's ROE of -1.19%. Regarding short-term risk, MONOY is more volatile compared to BHOOY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs HLFDF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, HLFDF has a market cap of 364.8M. Regarding current trading prices, MONOY is priced at $20.65, while HLFDF trades at $1.67.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas HLFDF's P/E ratio is 11.13. In terms of profitability, MONOY's ROE is +0.27%, compared to HLFDF's ROE of +0.03%. Regarding short-term risk, MONOY is more volatile compared to HLFDF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs KTYCF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, KTYCF has a market cap of 325.2M. Regarding current trading prices, MONOY is priced at $20.65, while KTYCF trades at $10.16.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas KTYCF's P/E ratio is 101.60. In terms of profitability, MONOY's ROE is +0.27%, compared to KTYCF's ROE of +0.08%. Regarding short-term risk, MONOY is less volatile compared to KTYCF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs SSILF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, SSILF has a market cap of 265M. Regarding current trading prices, MONOY is priced at $20.65, while SSILF trades at $0.09.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas SSILF's P/E ratio is 8.54. In terms of profitability, MONOY's ROE is +0.27%, compared to SSILF's ROE of +0.19%. Regarding short-term risk, MONOY is more volatile compared to SSILF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs NBRNF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, NBRNF has a market cap of 251.3M. Regarding current trading prices, MONOY is priced at $20.65, while NBRNF trades at $0.54.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas NBRNF's P/E ratio is 53.84. In terms of profitability, MONOY's ROE is +0.27%, compared to NBRNF's ROE of +0.01%. Regarding short-term risk, MONOY is more volatile compared to NBRNF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs HMAGF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, HMAGF has a market cap of 246.4M. Regarding current trading prices, MONOY is priced at $20.65, while HMAGF trades at $7.31.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas HMAGF's P/E ratio is -4.68. In terms of profitability, MONOY's ROE is +0.27%, compared to HMAGF's ROE of -0.24%. Regarding short-term risk, MONOY is more volatile compared to HMAGF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs HKTVY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, HKTVY has a market cap of 189.2M. Regarding current trading prices, MONOY is priced at $20.65, while HKTVY trades at $4.19.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas HKTVY's P/E ratio is -20.95. In terms of profitability, MONOY's ROE is +0.27%, compared to HKTVY's ROE of -0.02%. Regarding short-term risk, MONOY is more volatile compared to HKTVY. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs YUMSF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, YUMSF has a market cap of 187.7M. Regarding current trading prices, MONOY is priced at $20.65, while YUMSF trades at $1.68.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas YUMSF's P/E ratio is -10.50. In terms of profitability, MONOY's ROE is +0.27%, compared to YUMSF's ROE of -0.07%. Regarding short-term risk, MONOY is less volatile compared to YUMSF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs BNNNF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, BNNNF has a market cap of 173.5M. Regarding current trading prices, MONOY is priced at $20.65, while BNNNF trades at $13.39.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas BNNNF's P/E ratio is 14.24. In terms of profitability, MONOY's ROE is +0.27%, compared to BNNNF's ROE of +0.12%. Regarding short-term risk, MONOY is less volatile compared to BNNNF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs RDBBY Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, RDBBY has a market cap of 129.2M. Regarding current trading prices, MONOY is priced at $20.65, while RDBBY trades at $4.48.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas RDBBY's P/E ratio is -2.17. In terms of profitability, MONOY's ROE is +0.27%, compared to RDBBY's ROE of -0.22%. Regarding short-term risk, MONOY is less volatile compared to RDBBY. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs GMELF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, GMELF has a market cap of 118.3M. Regarding current trading prices, MONOY is priced at $20.65, while GMELF trades at $0.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas GMELF's P/E ratio is -0.08. In terms of profitability, MONOY's ROE is +0.27%, compared to GMELF's ROE of +0.86%. Regarding short-term risk, MONOY is more volatile compared to GMELF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs AHAHF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, AHAHF has a market cap of 116.1M. Regarding current trading prices, MONOY is priced at $20.65, while AHAHF trades at $3.20.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas AHAHF's P/E ratio is -160.00. In terms of profitability, MONOY's ROE is +0.27%, compared to AHAHF's ROE of +5.53%. Regarding short-term risk, MONOY is less volatile compared to AHAHF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs WCRS Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, WCRS has a market cap of 109.3M. Regarding current trading prices, MONOY is priced at $20.65, while WCRS trades at $12.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas WCRS's P/E ratio is 3.96. In terms of profitability, MONOY's ROE is +0.27%, compared to WCRS's ROE of +0.00%. Regarding short-term risk, MONOY is more volatile compared to WCRS. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs IGDFF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, IGDFF has a market cap of 78.9M. Regarding current trading prices, MONOY is priced at $20.65, while IGDFF trades at $0.81.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas IGDFF's P/E ratio is 5.07. In terms of profitability, MONOY's ROE is +0.27%, compared to IGDFF's ROE of +0.06%. Regarding short-term risk, MONOY is more volatile compared to IGDFF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs MHCRF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, MHCRF has a market cap of 64.4M. Regarding current trading prices, MONOY is priced at $20.65, while MHCRF trades at $0.06.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas MHCRF's P/E ratio is 3.00. In terms of profitability, MONOY's ROE is +0.27%, compared to MHCRF's ROE of +0.67%. Regarding short-term risk, MONOY is more volatile compared to MHCRF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs SPGZ Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, SPGZ has a market cap of 62.4M. Regarding current trading prices, MONOY is priced at $20.65, while SPGZ trades at $21,500.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas SPGZ's P/E ratio is 15.75. In terms of profitability, MONOY's ROE is +0.27%, compared to SPGZ's ROE of +0.04%. Regarding short-term risk, Volatility data is not available for a full comparison. MONOY has daily volatility of 1.02 and SPGZ has daily volatility of N/A.
MONOY vs ADBGF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ADBGF has a market cap of 61.1M. Regarding current trading prices, MONOY is priced at $20.65, while ADBGF trades at $0.65.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ADBGF's P/E ratio is 65.00. In terms of profitability, MONOY's ROE is +0.27%, compared to ADBGF's ROE of +0.06%. Regarding short-term risk, MONOY is more volatile compared to ADBGF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs ALLGF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ALLGF has a market cap of 57.5M. Regarding current trading prices, MONOY is priced at $20.65, while ALLGF trades at $0.21.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ALLGF's P/E ratio is -1.17. In terms of profitability, MONOY's ROE is +0.27%, compared to ALLGF's ROE of +0.50%. Regarding short-term risk, MONOY is more volatile compared to ALLGF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs IDGBF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, IDGBF has a market cap of 50.4M. Regarding current trading prices, MONOY is priced at $20.65, while IDGBF trades at $1.82.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas IDGBF's P/E ratio is -0.83. In terms of profitability, MONOY's ROE is +0.27%, compared to IDGBF's ROE of -12.64%. Regarding short-term risk, MONOY is more volatile compared to IDGBF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs PXHI Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, PXHI has a market cap of 47.9M. Regarding current trading prices, MONOY is priced at $20.65, while PXHI trades at $1.34.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas PXHI's P/E ratio is -2.31. In terms of profitability, MONOY's ROE is +0.27%, compared to PXHI's ROE of +0.15%. Regarding short-term risk, MONOY is more volatile compared to PXHI. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs ARTZF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, ARTZF has a market cap of 38.1M. Regarding current trading prices, MONOY is priced at $20.65, while ARTZF trades at $6.68.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas ARTZF's P/E ratio is -44.53. In terms of profitability, MONOY's ROE is +0.27%, compared to ARTZF's ROE of -0.08%. Regarding short-term risk, MONOY is less volatile compared to ARTZF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs TWRKF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, TWRKF has a market cap of 37.2M. Regarding current trading prices, MONOY is priced at $20.65, while TWRKF trades at $0.00.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas TWRKF's P/E ratio is 0.13. In terms of profitability, MONOY's ROE is +0.27%, compared to TWRKF's ROE of +1.09%. Regarding short-term risk, MONOY is more volatile compared to TWRKF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs FDIT Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, FDIT has a market cap of 30.1M. Regarding current trading prices, MONOY is priced at $20.65, while FDIT trades at $0.03.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas FDIT's P/E ratio is N/A. In terms of profitability, MONOY's ROE is +0.27%, compared to FDIT's ROE of -4.62%. Regarding short-term risk, MONOY is more volatile compared to FDIT. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs RDBBF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, RDBBF has a market cap of 28.4M. Regarding current trading prices, MONOY is priced at $20.65, while RDBBF trades at $0.10.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas RDBBF's P/E ratio is -2.50. In terms of profitability, MONOY's ROE is +0.27%, compared to RDBBF's ROE of -0.15%. Regarding short-term risk, MONOY is more volatile compared to RDBBF. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs RLAB Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, RLAB has a market cap of 19.9M. Regarding current trading prices, MONOY is priced at $20.65, while RLAB trades at $0.24.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas RLAB's P/E ratio is N/A. In terms of profitability, MONOY's ROE is +0.27%, compared to RLAB's ROE of N/A. Regarding short-term risk, MONOY is more volatile compared to RLAB. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs BWTL Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, BWTL has a market cap of 15.2M. Regarding current trading prices, MONOY is priced at $20.65, while BWTL trades at $3.65.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas BWTL's P/E ratio is -21.47. In terms of profitability, MONOY's ROE is +0.27%, compared to BWTL's ROE of +0.01%. Regarding short-term risk, MONOY is more volatile compared to BWTL. This indicates potentially higher risk in terms of short-term price fluctuations for MONOY.
MONOY vs AVDWF Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, AVDWF has a market cap of 14.9M. Regarding current trading prices, MONOY is priced at $20.65, while AVDWF trades at $1.25.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas AVDWF's P/E ratio is 62.50. In terms of profitability, MONOY's ROE is +0.27%, compared to AVDWF's ROE of +0.02%. Regarding short-term risk, MONOY is less volatile compared to AVDWF. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.
MONOY vs GHST Comparison
MONOY plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.
Comparing market capitalization, MONOY stands at 10.3B. In comparison, GHST has a market cap of 8.3M. Regarding current trading prices, MONOY is priced at $20.65, while GHST trades at $0.06.
To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.
MONOY currently has a P/E ratio of 52.95, whereas GHST's P/E ratio is 3.20. In terms of profitability, MONOY's ROE is +0.27%, compared to GHST's ROE of +0.55%. Regarding short-term risk, MONOY is less volatile compared to GHST. This indicates potentially lower risk in terms of short-term price fluctuations for MONOY.