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2 stocks, side by side
Relative performance · rebased to 100
BTIUVV
Pair ratio · BTI ÷ UVVRelative value, rich or cheap vs their own history

The price ratio BTI ÷ UVV with its 1Y mean and ±1σ / ±2σ bands; the z-score is how far the ratio sits from its average. A stretched reading flags one stock as rich vs the other relative to their history, but mean-reversion isn't guaranteed (a durable re-rating from better growth or margins can keep the ratio elevated). Research tooling, not advice.

BTIBritish American Tobacco p.l.c.UVVUniversal Corporation
Smart Score-3/10
Price$62.48$53.17
1 month-3.8%-2.5%
1 year+36%-5.1%
5 year+131%+29%
P/E (TTM)-40.6
P/E vs sector-+93%
Market cap$134.9B$1.3B
SectorConsumer DefensiveConsumer Defensive
Risk / Return · past yearAnnualized return vs volatility, up-and-left is more reward for less risk.
Correlation · do they move together?Pairwise daily-return correlation over the past year, high = one bet, low = diversifying.