JBIO vs CTLP
Comparison between Jade Biosciences Inc (JBIO, Company) and Cantaloupe Inc (CTLP, Company).
JBIO is from the Healthcare sector, while CTLP is from the Technology sector.
5-Year PerformanceCTLP has outperformed JBIO, delivering a return of +0.2% compared to -52.0%
JBIO vs CTLP - Performance Comparison
Key Characteristics
Financial metrics and valuation ratios
JBIO vs CTLP - Historical Returns
Returns include dividend reinvestment.
JBIO vs CTLP - Annual Returns (1999 - 2026)
Returns include dividend reinvestment.
| Year | JBIO | CTLP |
|---|---|---|
| 2026 | +18.79% | +4.87% |
| 2025 | -79.69% | +13.83% |
| 2024 | -87.85% | +29.74% |
| 2023 | -16.28% | +69.95% |
| 2022 | +168.07% | -49.12% |
| 2021 | -48.36% | -16.54% |
| 2020 | N/A | +42.78% |
| 2019 | N/A | +87.82% |
| 2018 | N/A | -60.10% |
| 2017 | N/A | +132.14% |
| 2016 | N/A | +43.81% |
| 2015 | N/A | +90.12% |
| 2014 | N/A | -12.97% |
| 2013 | N/A | -4.23% |
| 2012 | N/A | +53.98% |
| 2011 | N/A | +3.70% |
| 2010 | N/A | -36.42% |
| 2009 | N/A | -32.78% |
| 2008 | N/A | -56.04% |
| 2007 | N/A | -31.25% |
| 2006 | N/A | -33.49% |
| 2005 | N/A | -12.60% |
| 2004 | N/A | -18.75% |
| 2003 | N/A | -14.29% |
| 2002 | N/A | -60.22% |
| 2001 | N/A | -55.88% |
| 2000 | N/A | -60.34% |
| 1999 | N/A | +37.04% |
JBIO vs CTLP Drawdown Comparison
The maximum drawdown for JBIO was -99.22%, occurring on Jun 13, 2025. This drawdown has not yet recovered.
The maximum drawdown for CTLP was -99.91%, occurring on Jul 2, 2010. This drawdown has not yet recovered.
The current JBIO drawdown is -98.07%. The current CTLP drawdown is -97.87%.
| Rank | JBIO | CTLP |
|---|---|---|
| #1 | -99.22% Apr 1, 2024 - Jun 13, 2025 | -99.91% Dec 1, 1999 - Jul 2, 2010 |
| #2 | -68.61% Dec 12, 2022 - Apr 1, 2024 | -17.45% Nov 11, 1999 - Nov 29, 1999 |
| #3 | -63.86% Jun 30, 2021 - Aug 1, 2022 | -7.43% Nov 3, 1999 - Nov 10, 1999 |
| #4 | -42.73% Aug 12, 2022 - Dec 12, 2022 | N/A |
| #5 | -4.56% Aug 5, 2022 - Aug 12, 2022 | N/A |
Correlation
Correlation between JBIO and CTLP is -0.57 which considered as a moderate negative correlation - the stocks show some tendency to move in opposite directions.
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