Compare

5 stocks, side by side
Relative performance · rebased to 100
GPCMODBWAAPTVMGA
GPCGenuine Parts CompanyMODModine Manufacturing CompanyBWABorgWarner Inc.APTVAptivMGAMagna International Inc.
Smart Score3/105/104/104/105/10
Price$110.73$283.67$69.47$60.42$65.35
1 month+14%-4.1%+2.0%+5.3%+0.23%
1 year-5.4%+184%+111%-9.2%+78%
5 year+1.6%+1638%+71%-61%-16%
P/E (TTM)251.7123.339.435.526.5
P/E vs sector-+460%+79%-+20%
Market cap$15.1B$15.0B$14.2B$13.5B$17.8B
SectorConsumer DiscretionaryConsumer CyclicalConsumer CyclicalConsumer DiscretionaryConsumer Cyclical
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.