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KNW vs AIRI

Comparison between Know Labs Inc (KNW, Company) and Air Industries Group (AIRI, Company).

KNW vs AIRI - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
KNW
$14M
Winner
AIRI
$14M
Max Drawdown
Winner
KNW
86.93%
AIRI
99.98%
Sharpe Ratio
Winner
KNW
0.86
AIRI
-0.26
5Y Beta
KNW
N/A
AIRI
0.39
Industry
KNW
N/A
AIRI
Aerospace & Defense
P/E Ratio
KNW
-0.42
Winner
AIRI
-10.01
Forward P/E
KNW
N/A
AIRI
22.37
5Y EPS CAGR
KNW
N/A
AIRI
36.51%
Debt to Equity
KNW
225.30%
Winner
AIRI
138.74%
Free Cash Flow Yield
KNW
-53.88%
Winner
AIRI
-46.59%
P/B Ratio
KNW
-3.00
AIRI
N/A

KNW vs AIRI - Historical Returns

Returns include dividend reinvestment.

1M
KNW
-20.45%
Winner
AIRI
+11.07%
3M
Winner
KNW
+346.21%
AIRI
-9.06%
6M
KNW
-30.07%
Winner
AIRI
+2.73%
1Y
KNW
N/A
AIRI
-12.75%
5Y(CAGR)
KNW
N/A
AIRI
-24.42%
10Y(CAGR)
KNW
N/A
AIRI
-24.04%
Max(CAGR)
KNW
-55.35%
Winner
AIRI
-25.26%

KNW vs AIRI - Annual Returns (2000 - 2026)

Returns include dividend reinvestment.

YearKNWAIRI
2026N/A-3.22%
2025-30.07%-27.93%
2024N/A+25.62%
2023N/A-25.20%
2022N/A-55.59%
2021N/A-27.44%
2020N/A-47.66%
2019N/A+191.14%
2018N/A-59.38%
2017N/A-43.10%
2016N/A-61.73%
2015N/A-14.82%
2014N/A+25.53%
2013N/A+28.09%
2012N/A+146.44%
2011N/A+0.00%
2010N/A-26.25%
2009N/A-88.18%
2008N/A-51.11%
2007N/A-6.00%
2006N/A-29.71%
2005N/A+386.63%
2004N/A-66.67%
2003N/A+225.00%
2002N/A-84.00%
2001N/A-83.87%
2000N/A-38.00%

KNW vs AIRI Drawdown Comparison

The maximum drawdown for KNW was -86.93%, occurring on May 5, 2025. Recovery took 68 trading sessions.

The maximum drawdown for AIRI was -99.97%, occurring on Oct 4, 2023. This drawdown has not yet recovered.

The current KNW drawdown is -51.69%. The current AIRI drawdown is -99.97%.

RankKNWAIRI
#1-86.93%
Mar 5, 2025 - Jun 11, 2025
-99.97%
Jan 22, 2001 - Oct 4, 2023
#2-64.11%
Jun 12, 2025 - Jun 27, 2025
-61.11%
Nov 6, 2000 - Jan 22, 2001
#3N/A-31.39%
Oct 13, 2000 - Nov 6, 2000
#4N/A-3.45%
Oct 6, 2000 - Oct 13, 2000

Correlation

Correlation between KNW and AIRI is -0.59 which considered as a moderate negative correlation - the stocks show some tendency to move in opposite directions.

-0.59
-101

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