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ATLN vs ORIQ

Comparison between Atlantic International Corp (ATLN, Company) and Origin Investment Corp I (ORIQ, Company).

ATLN is from the Industrials sector, while ORIQ is from the Financial Services sector.

ATLN vs ORIQ - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
Winner
ATLN
$71M
ORIQ
$71M
Max Drawdown
ATLN
99.80%
Winner
ORIQ
0.79%
Sharpe Ratio
Winner
ATLN
0.55
ORIQ
-0.01
5Y Beta
Winner
ATLN
-0.31
ORIQ
-0.01
Industry
ATLN
Staffing & Employment Services
ORIQ
Shell Companies
P/E Ratio
Winner
ATLN
-0.71
ORIQ
46.31
Debt to Equity
ATLN
1209.57%
Winner
ORIQ
0.00%
Free Cash Flow Yield
ATLN
-40.56%
Winner
ORIQ
-0.90%
P/B Ratio
ATLN
N/A
ORIQ
1.23

ATLN vs ORIQ - Historical Returns

Returns include dividend reinvestment.

1M
ATLN
-38.35%
Winner
ORIQ
+0.10%
3M
ATLN
-74.36%
Winner
ORIQ
+1.27%
6M
ATLN
-32.32%
Winner
ORIQ
+1.27%
1Y
ATLN
-55.22%
Winner
ORIQ
+3.30%
5Y(CAGR)
ATLN
-66.57%
ORIQ
N/A
Max(CAGR)
ATLN
-66.57%
Winner
ORIQ
+3.81%

ATLN vs ORIQ - Annual Returns (2021 - 2026)

Returns include dividend reinvestment.

YearATLNORIQ
2026-55.88%+2.08%
2025-77.61%+1.20%
2024+14.82%N/A
2023-67.69%N/A
2022-85.39%N/A
2021-58.81%N/A

ATLN vs ORIQ Drawdown Comparison

The maximum drawdown for ATLN was -99.80%, occurring on Jun 22, 2026. This drawdown has not yet recovered.

The maximum drawdown for ORIQ was -0.79%, occurring on Dec 22, 2025. Recovery took 53 trading sessions.

The current ATLN drawdown is -99.59%.

RankATLNORIQ
#1-99.80%
Aug 30, 2021 - Jun 22, 2026
-0.79%
Nov 5, 2025 - Jan 23, 2026
#2N/A-0.59%
Feb 3, 2026 - Apr 24, 2026
#3N/A-0.20%
Sep 30, 2025 - Oct 8, 2025
#4N/A-0.19%
May 14, 2026 - May 28, 2026
#5N/A-0.15%
Jun 17, 2026 - Jul 15, 2026
#6N/A-0.10%
Sep 16, 2025 - Sep 19, 2025
#7N/A-0.10%
Sep 19, 2025 - Sep 26, 2025
#8N/A-0.10%
Oct 17, 2025 - Oct 28, 2025
#9N/A-0.10%
Oct 28, 2025 - Oct 31, 2025
#10N/A-0.05%
Oct 13, 2025 - Oct 17, 2025
#11N/A-0.05%
Jun 3, 2026 - Jun 17, 2026
#12N/A-0.00%
Jan 23, 2026 - Feb 3, 2026

Correlation

Correlation between ATLN and ORIQ is -0.58 which considered as a moderate negative correlation - the stocks show some tendency to move in opposite directions.

-0.58
-101

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