KLTR vs SPPI
Comparison between Kaltura Inc (KLTR, Company) and Spectrum Pharmaceuticals Inc (SPPI, Company).
5-Year PerformanceKLTR has outperformed SPPI, delivering a return of -35.1% compared to -45.3%
KLTR vs SPPI - Performance Comparison
Key Characteristics
Financial metrics and valuation ratios
KLTR vs SPPI - Historical Returns
Returns include dividend reinvestment.
KLTR vs SPPI - Annual Returns (1999 - 2026)
Returns include dividend reinvestment.
| Year | KLTR | SPPI |
|---|---|---|
| 2026 | -12.18% | N/A |
| 2025 | -29.61% | N/A |
| 2024 | +20.88% | N/A |
| 2023 | +8.33% | +169.28% |
| 2022 | -53.26% | -76.82% |
| 2021 | -71.92% | -63.29% |
| 2020 | N/A | -1.16% |
| 2019 | N/A | -60.56% |
| 2018 | N/A | -54.09% |
| 2017 | N/A | +324.89% |
| 2016 | N/A | -23.62% |
| 2015 | N/A | -15.66% |
| 2014 | N/A | -21.16% |
| 2013 | N/A | -24.10% |
| 2012 | N/A | -22.95% |
| 2011 | N/A | +107.81% |
| 2010 | N/A | +50.33% |
| 2009 | N/A | +196.00% |
| 2008 | N/A | -44.40% |
| 2007 | N/A | -51.08% |
| 2006 | N/A | +30.42% |
| 2005 | N/A | -34.82% |
| 2004 | N/A | -18.58% |
| 2003 | N/A | +352.43% |
| 2002 | N/A | -98.11% |
| 2001 | N/A | +8.61% |
| 2000 | N/A | -69.48% |
| 1999 | N/A | +14.03% |
KLTR vs SPPI Drawdown Comparison
The maximum drawdown for KLTR was -94.02%, occurring on Jun 7, 2024. This drawdown has not yet recovered.
The maximum drawdown for SPPI was -99.95%, occurring on Dec 28, 2022. This drawdown has not yet recovered.
The current KLTR drawdown is -89.93%. The current SPPI drawdown is -99.83%.
| Rank | KLTR | SPPI |
|---|---|---|
| #1 | -94.02% Aug 6, 2021 - Jun 7, 2024 | -99.95% Mar 7, 2000 - Dec 28, 2022 |
| #2 | -6.08% Jul 21, 2021 - Aug 2, 2021 | -22.36% Nov 19, 1999 - Feb 24, 2000 |
| #3 | -5.04% Aug 2, 2021 - Aug 6, 2021 | -6.87% Nov 5, 1999 - Nov 15, 1999 |
| #4 | N/A | -6.79% Mar 3, 2000 - Mar 7, 2000 |
| #5 | N/A | -6.19% Feb 25, 2000 - Feb 29, 2000 |
| #6 | N/A | -3.92% Nov 15, 1999 - Nov 18, 1999 |
| #7 | N/A | -3.70% Nov 1, 1999 - Nov 5, 1999 |
Correlation
Correlation between KLTR and SPPI is 0.91 which considered as a very strong positive correlation - the stocks move almost identically together.
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