OXBRW vs EMISR
Comparison between Oxbridge Re Holdings Ltd - Warrants (26/03/2024) (OXBRW, Company) and Emmis Acquisition Corp (EMISR, Company).
OXBRW vs EMISR - Performance Comparison
Key Characteristics
Financial metrics and valuation ratios
Market Cap
Winner
OXBRW
$533K
EMISR
$500K
Max Drawdown
OXBRW
99.94%
Winner
EMISR
45.89%
Sharpe Ratio
OXBRW
0.04
Winner
EMISR
0.27
5Y Beta
Winner
OXBRW
0.02
EMISR
0.81
P/E Ratio
OXBRW
0.07
EMISR
N/A
PEG Ratio
OXBRW
0.00
EMISR
N/A
Debt to Equity
OXBRW
N/A
EMISR
0.00%
Free Cash Flow Yield
OXBRW
N/A
EMISR
-90.29%
P/S Ratio
OXBRW
0.22
EMISR
N/A
OXBRW vs EMISR - Historical Returns
Returns include dividend reinvestment.
1M
OXBRW
-19.30%
Winner
EMISR
+4.60%
3M
OXBRW
-23.85%
Winner
EMISR
+7.14%
6M
OXBRW
-68.81%
Winner
EMISR
-0.99%
1Y
OXBRW
-75.42%
EMISR
N/A
5Y(CAGR)
OXBRW
-17.65%
EMISR
N/A
10Y(CAGR)
OXBRW
-15.94%
EMISR
N/A
Max(CAGR)
Winner
OXBRW
-23.70%
EMISR
-23.72%
OXBRW vs EMISR - Annual Returns (2014 - 2026)
Returns include dividend reinvestment.
| Year | OXBRW | EMISR |
|---|---|---|
| 2026 | -59.25% | -0.99% |
| 2025 | -60.19% | -15.83% |
| 2024 | +1045.58% | N/A |
| 2023 | -35.36% | N/A |
| 2022 | -87.77% | N/A |
| 2021 | +436.64% | N/A |
| 2020 | +191.35% | N/A |
| 2019 | +35.56% | N/A |
| 2018 | -98.50% | N/A |
| 2017 | -73.68% | N/A |
| 2016 | -27.78% | N/A |
| 2015 | -74.19% | N/A |
| 2014 | +5.59% | N/A |
OXBRW vs EMISR Drawdown Comparison
The maximum drawdown for OXBRW was -99.94%, occurring on Dec 31, 2018. This drawdown has not yet recovered.
The maximum drawdown for EMISR was -45.89%, occurring on May 13, 2026. This drawdown has not yet recovered.
The current OXBRW drawdown is -96.86%. The current EMISR drawdown is -18.92%.
| Rank | OXBRW | EMISR |
|---|---|---|
| #1 | -99.94% Nov 10, 2014 - Dec 31, 2018 | -45.89% Nov 10, 2025 - May 13, 2026 |
| #2 | -21.95% Sep 25, 2014 - Oct 22, 2014 | -16.67% Oct 23, 2025 - Nov 7, 2025 |
| #3 | -10.95% Oct 22, 2014 - Oct 30, 2014 | N/A |
| #4 | -1.96% Nov 4, 2014 - Nov 10, 2014 | N/A |
Correlation
Correlation between OXBRW and EMISR is 0.25 which considered as a very weak or no correlation - the stocks move independently of each other.
0.25
-101
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