BLZR vs CDZI
Comparison between Trailblazer Acquisition Corp (BLZR, Company) and Cadiz Inc (CDZI, Company).
BLZR is from the Financial Services sector, while CDZI is from the Utilities sector.
BLZR vs CDZI - Performance Comparison
Key Characteristics
Financial metrics and valuation ratios
BLZR vs CDZI - Historical Returns
Returns include dividend reinvestment.
BLZR vs CDZI - Annual Returns (1999 - 2026)
Returns include dividend reinvestment.
| Year | BLZR | CDZI |
|---|---|---|
| 2026 | +0.95% | -45.52% |
| 2025 | -1.09% | +10.65% |
| 2024 | N/A | +79.31% |
| 2023 | N/A | +8.95% |
| 2022 | N/A | -40.76% |
| 2021 | N/A | -63.27% |
| 2020 | N/A | -2.65% |
| 2019 | N/A | +7.41% |
| 2018 | N/A | -27.46% |
| 2017 | N/A | +16.33% |
| 2016 | N/A | +117.01% |
| 2015 | N/A | -51.65% |
| 2014 | N/A | +58.87% |
| 2013 | N/A | -16.35% |
| 2012 | N/A | -16.19% |
| 2011 | N/A | -23.33% |
| 2010 | N/A | +3.41% |
| 2009 | N/A | -9.52% |
| 2008 | N/A | -37.92% |
| 2007 | N/A | -8.50% |
| 2006 | N/A | +9.29% |
| 2005 | N/A | +55.23% |
| 2004 | N/A | +196.88% |
| 2003 | N/A | -66.00% |
| 2002 | N/A | -93.28% |
| 2001 | N/A | -8.34% |
| 2000 | N/A | -0.67% |
| 1999 | N/A | +12.56% |
BLZR vs CDZI Drawdown Comparison
The maximum drawdown for BLZR was -1.38%, occurring on Dec 31, 2025. Recovery took 170 trading sessions.
The maximum drawdown for CDZI was -99.51%, occurring on Jul 22, 2003. This drawdown has not yet recovered.
The current BLZR drawdown is -0.34%. The current CDZI drawdown is -98.98%.
| Rank | BLZR | CDZI |
|---|---|---|
| #1 | -1.38% Nov 3, 2025 - Jul 10, 2026 | -99.51% Feb 15, 2000 - Jul 22, 2003 |
| #2 | -0.39% Jul 10, 2026 - Jul 20, 2026 | -11.11% Nov 2, 1999 - Dec 16, 1999 |
| #3 | N/A | -9.51% Dec 16, 1999 - Dec 31, 1999 |
| #4 | N/A | -5.89% Dec 31, 1999 - Jan 7, 2000 |
| #5 | N/A | -4.77% Jan 25, 2000 - Feb 3, 2000 |
| #6 | N/A | -3.69% Feb 4, 2000 - Feb 10, 2000 |
| #7 | N/A | -2.33% Jan 12, 2000 - Jan 24, 2000 |
| #8 | N/A | -2.03% Feb 10, 2000 - Feb 15, 2000 |
Correlation
Correlation between BLZR and CDZI is -0.52 which considered as a moderate negative correlation - the stocks show some tendency to move in opposite directions.
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