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GROV vs PXS

Comparison between Grove Collaborative Holdings Inc - Class A (GROV, Company) and Pyxis Tankers Inc (PXS, Company).

GROV is from the Consumer Defensive sector, while PXS is from the Energy sector.

5-Year PerformancePXS has outperformed GROV, delivering a return of +5.5% compared to -52.7%

GROV vs PXS - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
Winner
GROV
$49M
PXS
$49M
Max Drawdown
GROV
97.95%
Winner
PXS
93.93%
Sharpe Ratio
GROV
0.01
Winner
PXS
1.23
5Y Beta
GROV
0.74
Winner
PXS
0.55
Industry
GROV
Household & Personal Products
PXS
Oil & Gas Midstream
P/E Ratio
Winner
GROV
-4.29
PXS
24.71
Forward P/E
Winner
GROV
0.09
PXS
4.36
PEG Ratio
GROV
N/A
PXS
0.00
Debt to Equity
Winner
GROV
-43.11%
PXS
91.68%
Free Cash Flow Yield
GROV
-3.42%
Winner
PXS
27.61%
P/S Ratio
Winner
GROV
0.30
PXS
1.23
P/B Ratio
GROV
82.35
Winner
PXS
0.49

GROV vs PXS - Historical Returns

Returns include dividend reinvestment.

1M
Winner
GROV
+0.00%
PXS
-4.35%
3M
GROV
-9.38%
Winner
PXS
+17.26%
6M
GROV
-7.20%
Winner
PXS
+59.31%
1Y
GROV
-14.07%
Winner
PXS
+66.49%
5Y(CAGR)
GROV
-52.69%
Winner
PXS
+5.52%
10Y(CAGR)
GROV
N/A
PXS
-9.61%
Max(CAGR)
GROV
-52.31%
Winner
PXS
-11.18%

GROV vs PXS - Annual Returns (2015 - 2026)

Returns include dividend reinvestment.

YearGROVPXS
2026+3.57%+67.39%
2025-21.99%-26.44%
2024-25.67%-5.53%
2023-17.67%-2.80%
2022-95.97%+139.71%
2021+0.20%-42.18%
2020N/A-27.20%
2019N/A+14.33%
2018N/A-67.94%
2017N/A+16.71%
2016N/A+108.00%
2015N/A-68.89%

GROV vs PXS Drawdown Comparison

The maximum drawdown for GROV was -97.95%, occurring on Dec 20, 2022. This drawdown has not yet recovered.

The maximum drawdown for PXS was -93.93%, occurring on Jan 24, 2022. This drawdown has not yet recovered.

The current GROV drawdown is -97.68%. The current PXS drawdown is -82.71%.

RankGROVPXS
#1-97.95%
May 14, 2021 - Dec 20, 2022
-93.93%
Dec 4, 2017 - Jan 24, 2022
#2N/A-83.95%
Nov 3, 2015 - Dec 1, 2017

Correlation

Correlation between GROV and PXS is -0.60 which considered as a moderate negative correlation - the stocks show some tendency to move in opposite directions.

-0.60
-101

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