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AR vs FIG

Comparison between Antero Resources Corp (AR, Company) and Figma Inc - Class A (FIG, Company).

AR is from the Energy sector, while FIG is from the Technology sector.

AR vs FIG - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
AR
$12B
Winner
FIG
$12B
Max Drawdown
AR
99.01%
Winner
FIG
86.18%
Sharpe Ratio
Winner
AR
-0.12
FIG
-1.95
5Y Beta
Winner
AR
0.89
FIG
1.44
Industry
AR
Oil & Gas E&p
FIG
Software - Application
P/E Ratio
AR
11.71
Winner
FIG
-8.50
Forward P/E
Winner
AR
8.87
FIG
82.64
PEG Ratio
Winner
AR
0.04
FIG
4.11
Debt to Equity
AR
33.05%
Winner
FIG
0.00%
Free Cash Flow Yield
Winner
AR
17.27%
FIG
2.03%
P/S Ratio
Winner
AR
2.09
FIG
10.28
P/B Ratio
Winner
AR
1.50
FIG
8.19

AR vs FIG - Historical Returns

Returns include dividend reinvestment.

1M
AR
-6.23%
Winner
FIG
+26.86%
3M
Winner
AR
+4.16%
FIG
-27.33%
6M
Winner
AR
+1.96%
FIG
-39.22%
1Y
Winner
AR
-10.85%
FIG
-80.99%
5Y(CAGR)
AR
+23.08%
FIG
N/A
10Y(CAGR)
AR
+2.59%
FIG
N/A
Max(CAGR)
Winner
AR
-2.91%
FIG
-86.84%

AR vs FIG - Annual Returns (2013 - 2026)

Returns include dividend reinvestment.

YearARFIG
2026+4.68%-41.61%
2025-3.12%-67.65%
2024+54.95%N/A
2023-20.20%N/A
2022+74.79%N/A
2021+209.73%N/A
2020+110.42%N/A
2019-70.80%N/A
2018-52.53%N/A
2017-19.76%N/A
2016+4.28%N/A
2015-48.52%N/A
2014-33.45%N/A
2013+21.98%N/A

AR vs FIG Drawdown Comparison

The maximum drawdown for AR was -99.01%, occurring on Apr 1, 2020. This drawdown has not yet recovered.

The maximum drawdown for FIG was -86.18%, occurring on Apr 29, 2026. This drawdown has not yet recovered.

The current AR drawdown is -46.88%. The current FIG drawdown is -82.00%.

RankARFIG
#1-99.01%
Mar 25, 2014 - Apr 1, 2020
-86.18%
Aug 1, 2025 - Apr 29, 2026
#2-14.17%
Dec 31, 2013 - Mar 20, 2014
N/A
#3-9.56%
Oct 16, 2013 - Dec 17, 2013
N/A
#4-0.91%
Dec 18, 2013 - Dec 20, 2013
N/A
#5-0.21%
Dec 27, 2013 - Dec 31, 2013
N/A
#6-0.19%
Mar 20, 2014 - Mar 24, 2014
N/A
#7-0.13%
Dec 24, 2013 - Dec 27, 2013
N/A

Correlation

Correlation between AR and FIG is -0.51 which considered as a moderate negative correlation - the stocks show some tendency to move in opposite directions.

-0.51
-101

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