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BB vs GEF-B

Comparison between BlackBerry Ltd (BB, Company) and Greif Inc - Class B (GEF-B, Company).

BB is from the Technology sector, while GEF-B is from the Consumer Cyclical sector.

5-Year PerformanceGEF-B has outperformed BB, delivering a return of +13.4% compared to -8.3%

BB vs GEF-B - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
BB
$4.92B
Winner
GEF-B
$4.94B
Max Drawdown
BB
98.57%
Winner
GEF-B
64.12%
Sharpe Ratio
Winner
BB
1.46
GEF-B
1.19
5Y Beta
BB
1.49
Winner
GEF-B
0.76
Industry
BB
Software - Infrastructure
GEF-B
Packaging & Containers
P/E Ratio
BB
92.81
Winner
GEF-B
4.53
Forward P/E
BB
52.08
Winner
GEF-B
7.35
PEG Ratio
BB
N/A
GEF-B
0.01
Dividend Yield
BB
N/A
GEF-B
2.78%
5Y Dividends CAGR
BB
N/A
GEF-B
10.07%
5Y EPS CAGR
BB
N/A
GEF-B
56.19%
Debt to Equity
Winner
BB
26.34%
GEF-B
41.11%
Free Cash Flow Yield
Winner
BB
0.94%
GEF-B
-3.47%

BB vs GEF-B - Historical Returns

Returns include dividend reinvestment.

1M
Winner
BB
+31.35%
GEF-B
+11.35%
3M
Winner
BB
+153.94%
GEF-B
+8.46%
6M
Winner
BB
+93.53%
GEF-B
+17.79%
1Y
Winner
BB
+93.98%
GEF-B
+38.53%
5Y(CAGR)
BB
-8.27%
Winner
GEF-B
+13.36%
10Y(CAGR)
BB
+1.80%
Winner
GEF-B
+9.76%
Max(CAGR)
BB
+1.79%
Winner
GEF-B
+12.53%

BB vs GEF-B - Annual Returns (1999 - 2026)

Returns include dividend reinvestment.

YearBBGEF-B
2026+120.53%+17.90%
2025-0.79%+17.65%
2024+10.20%+7.92%
2023+6.95%-12.19%
2022-65.21%+37.40%
2021+42.10%+29.70%
2020+1.69%+1.36%
2019-9.70%+24.01%
2018-40.85%-34.00%
2017+60.49%+4.77%
2016-24.58%+65.36%
2015-14.23%-9.15%
2014+43.53%-9.35%
2013-36.49%+24.28%
2012-23.47%+9.84%
2011-75.40%-22.54%
2010-11.83%+24.31%
2009+61.12%+47.75%
2008-64.31%-39.57%
2007+164.64%+15.99%
2006+91.83%+81.65%
2005-16.71%+20.85%
2004+138.07%+57.73%
2003+387.09%+12.69%
2002-46.53%N/A
2001-59.37%N/A
2000+54.95%N/A
1999+47.20%N/A

BB vs GEF-B Drawdown Comparison

The maximum drawdown for BB was -98.57%, occurring on Aug 7, 2024. This drawdown has not yet recovered.

The maximum drawdown for GEF-B was -63.04%, occurring on Nov 20, 2008. Recovery took 519 trading sessions.

The current BB drawdown is -94.32%. The current GEF-B drawdown is -5.27%.

RankBBGEF-B
#1-98.57%
Jun 19, 2008 - Aug 7, 2024
-63.04%
Apr 2, 2008 - Apr 23, 2010
#2-94.61%
Mar 2, 2000 - Oct 14, 2004
-50.80%
Dec 21, 2017 - Apr 28, 2021
#3-38.91%
Nov 2, 2004 - Sep 29, 2006
-40.40%
Jun 18, 2014 - Jun 20, 2016
#4-36.78%
Nov 7, 2007 - May 5, 2008
-32.51%
Jul 7, 2011 - Mar 26, 2013
#5-26.55%
Dec 6, 1999 - Jan 11, 2000
-29.59%
Mar 1, 2023 - Dec 12, 2025
#6-15.62%
Jul 19, 2007 - Aug 20, 2007
-23.37%
Nov 11, 2021 - Jul 28, 2022
#7-14.86%
Feb 8, 2000 - Feb 24, 2000
-23.17%
Feb 13, 2017 - Dec 20, 2017
#8-14.74%
Jan 8, 2007 - Feb 26, 2007
-22.30%
Apr 8, 2005 - Jun 30, 2006
#9-14.60%
Nov 18, 1999 - Dec 2, 1999
-19.83%
Feb 23, 2007 - Jun 18, 2007
#10-14.05%
Jan 25, 2000 - Feb 2, 2000
-19.49%
Jul 17, 2007 - Oct 5, 2007
#11-12.80%
Jan 11, 2000 - Jan 19, 2000
-17.73%
Dec 28, 2007 - Apr 2, 2008
#12-11.95%
Nov 24, 2006 - Jan 8, 2007
-17.11%
Apr 8, 2026 - May 19, 2026
#13-11.49%
Apr 10, 2007 - May 9, 2007
-15.58%
Aug 12, 2022 - Oct 21, 2022
#14-10.32%
Feb 26, 2007 - Apr 10, 2007
-15.39%
Apr 26, 2010 - Jun 21, 2010
#15-8.72%
May 12, 2008 - Jun 17, 2008
-15.23%
Mar 26, 2013 - Jul 2, 2013

Correlation

Correlation between BB and GEF-B is -0.41 which considered as a weak negative correlation - the stocks show a slight tendency to move in opposite directions.

-0.41
-101

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