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COCP vs CYCN

Comparison between Cocrystal Pharma Inc (COCP, Company) and Cyclerion Therapeutics Inc (CYCN, Company).

Both COCP and CYCN are from the Healthcare sector.

5-Year PerformanceCOCP has outperformed CYCN, delivering a return of -42.4% compared to -46.6%

COCP vs CYCN - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
Winner
COCP
$14M
CYCN
$14M
Max Drawdown
COCP
99.96%
Winner
CYCN
99.71%
Sharpe Ratio
COCP
-0.24
Winner
CYCN
0.67
5Y Beta
Winner
COCP
0.71
CYCN
0.89
Industry
COCP
Biotechnology
CYCN
Biotechnology
P/E Ratio
COCP
-1.42
Winner
CYCN
-2.41
PEG Ratio
COCP
0.00
Winner
CYCN
-0.10
5Y EPS CAGR
Winner
COCP
-18.79%
CYCN
-49.51%
Debt to Equity
COCP
0.00%
CYCN
0.00%
Free Cash Flow Yield
COCP
-55.44%
Winner
CYCN
-26.44%
P/S Ratio
COCP
60.97
CYCN
N/A
P/B Ratio
COCP
3.28
CYCN
N/A

COCP vs CYCN - Historical Returns

Returns include dividend reinvestment.

1M
COCP
-13.04%
Winner
CYCN
+1.26%
3M
COCP
-7.41%
Winner
CYCN
+102.52%
6M
COCP
+1.96%
Winner
CYCN
+119.05%
1Y
COCP
-36.31%
Winner
CYCN
+11.81%
5Y(CAGR)
Winner
COCP
-42.37%
CYCN
-46.58%
10Y(CAGR)
COCP
-40.65%
CYCN
N/A
Max(CAGR)
Winner
COCP
-39.52%
CYCN
-46.37%

COCP vs CYCN - Annual Returns (2011 - 2026)

Returns include dividend reinvestment.

YearCOCPCYCN
2026+0.73%+140.30%
2025-57.80%-61.40%
2024+14.92%-8.00%
2023-17.60%-75.00%
2022-77.19%-63.13%
2021-53.90%-43.42%
2020+151.85%+19.07%
2019-86.77%-81.23%
2018-40.00%N/A
2017-48.12%N/A
2016-51.27%N/A
2015+104.60%N/A
2014-33.33%N/A
2013-82.93%N/A
2012-11.68%N/A
2011-33.09%N/A

COCP vs CYCN Drawdown Comparison

The maximum drawdown for COCP was -99.96%, occurring on Feb 5, 2026. This drawdown has not yet recovered.

The maximum drawdown for CYCN was -99.71%, occurring on Feb 5, 2026. This drawdown has not yet recovered.

The current COCP drawdown is -99.95%. The current CYCN drawdown is -99.13%.

RankCOCPCYCN
#1-99.96%
May 19, 2011 - Feb 5, 2026
-99.71%
Apr 10, 2019 - Feb 5, 2026
#2N/A-9.46%
Apr 3, 2019 - Apr 10, 2019

Correlation

Correlation between COCP and CYCN is 0.90 which considered as a strong positive correlation - the stocks tend to move together.

0.90
-101

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