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ACEL vs RZLV

Comparison between Accel Entertainment Inc - Class A1 (ACEL, Company) and Rezolve AI Ltd (RZLV, Company).

ACEL is from the Consumer Cyclical sector, while RZLV is from the Technology sector.

ACEL vs RZLV - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
Winner
ACEL
$1.03B
RZLV
$1.03B
Max Drawdown
Winner
ACEL
57.83%
RZLV
89.04%
Sharpe Ratio
ACEL
0.16
Winner
RZLV
0.50
5Y Beta
Winner
ACEL
0.71
RZLV
2.05
Industry
ACEL
Gambling
RZLV
Software - Infrastructure
P/E Ratio
ACEL
21.05
Winner
RZLV
-4.92
Forward P/E
ACEL
16.05
RZLV
N/A
PEG Ratio
ACEL
0.63
RZLV
N/A
Debt to Equity
ACEL
213.23%
Winner
RZLV
63.72%
Free Cash Flow Yield
Winner
ACEL
6.22%
RZLV
-3.72%
P/S Ratio
Winner
ACEL
0.74
RZLV
26.25
P/B Ratio
Winner
ACEL
3.82
RZLV
4.96

ACEL vs RZLV - Historical Returns

Returns include dividend reinvestment.

1M
Winner
ACEL
-6.28%
RZLV
-13.31%
3M
Winner
ACEL
+4.37%
RZLV
-13.62%
6M
Winner
ACEL
+5.71%
RZLV
-47.95%
1Y
Winner
ACEL
+1.53%
RZLV
-0.82%
5Y(CAGR)
ACEL
+1.56%
RZLV
N/A
Max(CAGR)
Winner
ACEL
+1.77%
RZLV
-52.97%

ACEL vs RZLV - Annual Returns (2019 - 2026)

Returns include dividend reinvestment.

YearACELRZLV
2026+8.22%-16.03%
2025+7.95%-37.16%
2024+3.29%-62.51%
2023+29.51%N/A
2022-41.71%N/A
2021+33.95%N/A
2020-19.20%N/A
2019+14.16%N/A

ACEL vs RZLV Drawdown Comparison

The maximum drawdown for ACEL was -57.83%, occurring on Mar 20, 2020. Recovery took 143 trading sessions.

The maximum drawdown for RZLV was -89.04%, occurring on Apr 8, 2025. This drawdown has not yet recovered.

The current ACEL drawdown is -15.43%. The current RZLV drawdown is -76.62%.

RankACELRZLV
#1-57.83%
Feb 14, 2020 - Sep 9, 2020
-89.04%
Aug 22, 2024 - Apr 8, 2025
#2-49.48%
Sep 15, 2020 - Dec 19, 2022
-21.00%
Aug 16, 2024 - Aug 22, 2024
#3-5.48%
Nov 21, 2019 - Dec 5, 2019
N/A
#4-5.40%
Dec 20, 2019 - Feb 7, 2020
N/A
#5-5.27%
Sep 10, 2020 - Sep 15, 2020
N/A
#6-0.67%
Dec 12, 2019 - Dec 16, 2019
N/A
#7-0.24%
Feb 10, 2020 - Feb 12, 2020
N/A

Correlation

Correlation between ACEL and RZLV is 0.10 which considered as a very weak or no correlation - the stocks move independently of each other.

0.10
-101

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